Multi BBXMulti Bollinger Bands eXtra (Multi BBB) is an advanced technical analysis indicator that combines multi‑timeframe Bollinger Bands with candlestick pattern recognition. Dedicated to Emre Dere in gratitude for his contributions to financial markets.
Key Features
Multiple Bollinger Bands: Configure up to three Bollinger Bands (SMA/EMA based) on the same chart, each with independent timeframe settings.
Dynamic Band Calculations: Fully customizable length, source, and standard deviation parameters.
Hammer Pattern Detection: Automatically identifies hammer and inverted hammer candlestick formations at upper and lower bands.
Visual Signals: Band touches and candlestick patterns are displayed with triangle markers directly on the chart.
Alert System: Generates alerts when hammer or inverted hammer patterns are confirmed at band levels.
This framework empowers traders to monitor volatility bands and candlestick signals simultaneously, supporting disciplined and professional trading decisions.
Analyse de la tendance
Buy & SellDisclaimer: This indicator is provided for educational and informational purposes only and does not constitute financial or investment advice, nor a recommendation to buy or sell any asset. Trading and investing involve risk, and past performance or indicator signals do not guarantee future results. The user is solely responsible for all trading decisions and risk management, and the creator of this indicator assumes no liability for any financial losses resulting from its use.
QUANTA - LAB MOMENTUMMOMENTUM-LAB V1.1 FORENSIC
Institutional momentum analysis suite with volatility scaling, crash detection, and risk management.
Momentum Analysis :
Multi-horizon momentum (short/medium/long formation periods)
Z-score normalized composite signal
Skip-period implementation to avoid microstructure noise
Volatility Scaling :
Target volatility position sizing
GJR-GARCH(1,1) forecasting with adaptive parameter estimation
Leverage bounds (min/max constraints)
Crash Detection :
Bear market identification
Panic state detection (vol spike + negative returns)
Dynamic position reduction during momentum crashes
Risk Metrics:
VaR/CVaR (historical and Cornish-Fisher)
Drawdown-based position adjustment
Skewness and excess kurtosis monitoring
Amihud illiquidity measure
Signal Features:
Anti-repaint mode (bar close confirmation)
Optional signal confirmation filter
Variance ratio regime detection (trend/revert/random)
Important:
Diagnostic research tool — NOT a trading system
Single-asset analysis (no cross-sectional factors)
Does not include transaction costs
Validate in Python before deployment
References: Jegadeesh & Titman (1993), Daniel & Moskowitz (2016), Barroso & Santa-Clara (2015), GJR (1993), Lo & MacKinlay (1988), Amihud (2002)
FRACTAL-LAB Advanced fractal analysis suite for detecting market memory and deviations from random walk behavior.
Features:
Hurst Exponent proxy via variance scaling with dynamic confidence intervals
DFA-Lite (two-scale Detrended Fluctuation Analysis)
Lo-MacKinlay Variance Ratio test
Volatility memory analysis on |returns|
Quality scoring system (A-F grades)
Regime classification: Persistent / Random Walk / Anti-Persistent
Interpretation:
H > 0.55 → Trending behavior (momentum)
H ≈ 0.50 → Random walk (no predictability)
H < 0.45 → Mean-reverting behavior
Important:
Screening tool only — validate results in Python/R
Does not test for short-range dependence (Lo, 1991)
Recommended sample size: N ≥ 300 bars
NOT a trading system — for research and education only
References: Hurst (1951), Lo & MacKinlay (1988), Peng et al. (1994)
Intraday Zae FX Correlated + Top/Bottom Pairs + TF Range
🔍 Complete Currency Strength Suite | Pair Comparison + Top/Bottom + TF Range
This powerful multi-tool indicator gives you a complete view of forex market dynamics by combining 3 high-impact features.
🟩 1. Pair Comparison Panel
Compare your active pair against a correlated pair. It shows the status as LEADING, LAGGING, or EQUAL. It highlights the dominant currency and gives real-time signals to trade with momentum confirmation.
🟢 Green means strength/leading, 🔴 Red means weak/lagging.
Buy if the strong currency is leading the pair. Avoid trading if the pair is lagging.
🟦 2. Top/Bottom 4 Pairs & Currencies Panel
Gives an instant overview of the strongest and weakest pairs. The top 4 pairs show the highest bullish momentum, and the bottom 4 show strong bearish momentum. A currency rank header confirms individual strength.
Trade strong vs weak currencies (example: if CAD is stronger than AUD, short AUDCAD). Avoid strong vs strong or weak vs weak situations.
🟨 3. Timeframe Range Analysis
Tracks current candle performance against historical average. Shows current vs average range, performance percentage, and expected expansion left (Exp+).
Use this for timing breakouts, gauging volatility, and setting stops.
Red performance indicates compression and a breakout opportunity. Positive Exp+ means there's room left for the move.
⚙️ Customization Options
You can choose between auto or manual mode, define lookback periods, select your broker (OANDA, FX_IDC, etc.), and customize smoothing and price sources. Panel size, position, and the optional timeframe box on the chart are all adjustable.
🎯 Trading Strategies Included
Strength Confirmation
Correlation Divergence
Range Breakout
Momentum Continuation
✅ Best Used When
Currency is in the top 4
The pair is showing as leading
Exp+ is greater than 0, indicating room to move
Performance percentage is below +50%, meaning it’s not overextended
Use all three panels together to identify high-quality trade setups with confidence. This tool is ideal for momentum, breakout, and trend-following strategies.
Ghost Signal v3.7================================================================================
GHOST SIGNAL v3.7 - PUBLICATION DESCRIPTION
================================================================================
TITLE: Ghost Signal v3.7 - Trend Continuation & Mean Reversion System
================================================================================
FULL DESCRIPTION
================================================================================
Ghost Signal v3.7 is a complete trading system that combines two complementary
strategies to capture opportunities in both trending and mean-reverting markets.
------------------------------
STRATEGIES
------------------------------
GHOST - Trend Continuation
- Identifies high-quality pullbacks to the 20 EMA in confirmed trending markets
- Requires EMA stacking (20 > 50 > 200 for longs, inverted for shorts)
- Multi-timeframe alignment ensures you're trading with the bigger picture
- Quality gates filter out low-probability setups
REAPER - Mean Reversion
- Catches overextension at VWAP +/- 2 standard deviations
- Requires wick rejection (price tested extreme but rejected)
- Volume confirmation ensures institutional participation
- Works in any market condition
------------------------------
KEY FEATURES
------------------------------
Multi-Timeframe Alignment
- Daily, 4H, 1H, and 15m trend confirmation
- Weighted scoring system (Daily = 1.5, 4H = 1.0, 1H = 0.5, 15m = 0.25)
- Max score = 3.25 when all timeframes aligned
- Only trade when higher timeframes agree
Quality Gate System (GHOST)
- ADX >= 20 (trend must have strength)
- EMA spacing (trend is real, not bunched EMAs)
- RSI in healthy zone (25-65 for longs, 35-75 for shorts)
- Volume confirmation on entry
- VWAP alignment (above VWAP for longs)
Smart Filtering
- Time lockouts (avoid open auction, lunch chop, MOC)
- Daily signal limits (prevent overtrading)
- Signal cooldowns (no rapid-fire entries)
- Breakout confirmation (wait for momentum)
Professional Visuals
- Clean EMA ribbon (20/50/200)
- VWAP with standard deviation bands
- Regime background coloring
- Clear signal labels (GHOST/REAPER/PB)
- Real-time info panel with key metrics
Full Alert System
- Individual alerts for GHOST Long/Short
- Individual alerts for REAPER Long/Short
- Pullback setup alerts
- Combined "any signal" alerts
------------------------------
RECOMMENDED SETTINGS
------------------------------
Timeframe: 2-5 minute charts
Markets: Liquid stocks (TSLA, GOOG, NVDA, QQQ, ORCL, etc.)
Session: Regular trading hours (9:30 AM - 4:00 PM ET)
Best Performers (from backtesting):
- TSLA: +$672 (37 trades) - GHOST excels here
- GOOG: +$394 (16 trades) - Clean trends
- ORCL: +$271 (27 trades) - Consistent
------------------------------
HOW TO USE
------------------------------
1. Wait for regime background to show clear trend (green = bullish, red = bearish)
2. For GHOST: Wait for "PB" label, then "GHOST" label on breakout
3. For REAPER: Wait for "REAPER" label at band extremes
4. Check info panel: ADX > 20, MTF aligned, reasonable volume
5. Manage risk: Use ATR-based stops (2x ATR recommended)
Pro Tips:
- GHOST longs outperform GHOST shorts historically
- REAPER is more consistent across all symbols
- Avoid signals during lunch (11:30 AM - 1:00 PM)
- Best results in first 90 minutes of session
------------------------------
RISK DISCLAIMER
------------------------------
This indicator is for educational purposes only. Past performance does not
guarantee future results. Always use proper risk management and never risk
more than you can afford to lose. Backtest results are hypothetical and
may not reflect actual trading performance.
================================================================================
ENHANCEMENTS FROM ORIGINAL VERSION
================================================================================
VERSION 3.7 CHANGELOG
---------------------
NEW: GHOST Quality Gate System
- Added ADX filter (>= 20) to ensure trend strength
- Added EMA spacing requirement (EMAs must be separated)
- Added RSI zone filter (healthy range, not oversold/overbought)
- Added volume confirmation on entry
- Added VWAP alignment requirement
- Added breakout confirmation (close > prior high)
NEW: Multi-Timeframe Alignment
- Daily timeframe trend check (weight: 1.5)
- 4-Hour timeframe trend check (weight: 1.0)
- 1-Hour timeframe trend check (weight: 0.5)
- 15-Minute timeframe trend check (weight: 0.25) - Entry zone confirmation
- Weighted scoring system with configurable threshold (max score: 3.25)
NEW: Pullback Detection System
- Automatic pullback identification at EMA 20
- Pullback quality assessment (candle direction + volume)
- Depth check (pullback not too deep past EMA 50)
- Setup expiry timer (20 minutes default)
- Cooldown between pullback signals
NEW: Anti-Overtrade Protection
- Daily signal limit (configurable, default 6)
- Signal cooldown between entries
- Prevents rapid-fire trading
NEW: Time-Based Filtering
- Open auction lockout (9:30-9:40 AM)
- Lunch window lockout (11:30 AM - 1:00 PM)
- MOC close lockout (3:50-4:00 PM)
- All configurable via inputs
NEW: Real-Time Info Panel
- Current regime display
- ADX reading with color coding
- RSI value
- Relative volume (vs 50-bar average)
- MTF alignment score
- Daily signal count
NEW: Comprehensive Alert System
- GHOST Long alert
- GHOST Short alert
- REAPER Long alert
- REAPER Short alert
- Pullback setup alert
- Combined signal alerts
IMPROVED: REAPER Module
- Volume confirmation (1.3x average required)
- ADX filter (>= 25 for reversals)
- Wick ratio validation
- Close-inside-band requirement
- Configurable band threshold (1sig or 2sig)
IMPROVED: Visual System
- Customizable colors for all signals
- Toggle for each visual element
- Professional label styling
- Background regime coloring
IMPROVED: Configuration
- All parameters exposed as inputs
- Logical grouping in settings panel
- Helpful tooltips on key settings
- Sensible defaults from backtesting
LIQUIDITY CASINOLIQUIDITY CASINO
This indicator visualizes price acceptance and rejection through volume concentration using a fixed-range volume profiling approach combined with directional volume imbalance.
The purpose of the script is contextual analysis rather than prediction. It is designed to identify price levels where meaningful participation has historically occurred and to observe how price behaves when those levels are revisited.
Core methodology
Fixed-range volume profiling
The script constructs a volume profile over a user-defined range, either interactively selected or specified by a fixed number of historical bars.
Within this range, price is divided into discrete bins and traded volume is accumulated per bin to form a distribution.
Uniqueness of approach
Unlike many volume profile, supply–demand, or support–resistance indicators, this script does not rely on fixed session boundaries, pivot detection, or price-only structure. Zones are derived exclusively from relative volume concentration within a user-defined range, then further filtered by directional volume imbalance and bin continuity. This combination allows zones to represent sustained participation and directional dominance rather than isolated highs, lows, or single-bar events. As a result, the indicator focuses on where price was accepted or rejected by participation, not simply where price happened to turn, which distinguishes it from traditional profile, pivot-based, or price-action-only tools commonly available on TradingView.
Zone qualification using relative volume
Each bin’s volume is evaluated relative to the average volume per bin in the selected range.
Only clusters of consecutive bins exceeding a relative volume threshold are merged into zones.
This approach reduces the influence of isolated volume spikes and focuses on sustained participation.
Directional bias classification
Qualified zones are further classified using directional volume imbalance:
Positive imbalance indicates demand-dominant participation (BIDS).
Negative imbalance indicates supply-dominant participation (ASKS).
Neutral imbalance indicates balanced participation (BALANCE).
This allows zones to reflect participation asymmetry, not just total traded volume.
Zone persistence and role reversal
Once identified, zones extend forward in time to act as reference levels.
If price fully breaks through a zone, the script automatically reclassifies it, reflecting the commonly observed behavior where prior demand can act as future supply, and vice versa.
Value Area and Point of Control
The script also calculates the Value Area High (VAH), Value Area Low (VAL), and Point of Control (POC) from the same fixed-range profile.
These levels provide additional context for price acceptance and balance within the analyzed range.
Signal logic
Signals are generated only after direct interaction with a qualified zone and are therefore reactive rather than predictive.
RECLAIM
Occurs when price trades into a demand-dominant zone and subsequently closes back above the zone boundary.
An optional EMA trend filter can be applied.
REJECT
Occurs when price trades into a supply-dominant zone and subsequently closes back below the zone boundary.
The same optional EMA trend filter may be used.
All signals depend on prior interaction with volume-defined structure.
Intended use
This script is designed to help traders:
Identify areas of high historical participation
Distinguish balanced from imbalanced price regions
Observe acceptance versus rejection behavior
Avoid operating in low-information areas of the chart
It may be applied to any market or timeframe where volume data is available.
Notes on design
Parameters are intentionally limited to reduce overfitting.
Calculations are range-dependent; adjusting the range changes the analytical context.
No future data is referenced.
No external data sources are required.
- youboremeoften
Disclaimer
This script is provided for educational and analytical purposes only.
It does not constitute financial advice. Always manage risk appropriately.
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.
RENKO GOLD STRATEGY - HIGH WINRATE - NO DELAY📌 RENKO GOLD STRAT – Indicator Description
This indicator is designed for manual trading of Gold (XAUUSD) using Traditional Renko charts on TradingView.
⚠️ Important requirements (read carefully):
You MUST use the 1-second timeframe
You MUST use Traditional Renko
ATR Renko is NOT supported
TradingView Premium / Ultra is required (1s timeframe)
If any of the above settings are incorrect, the signals, TP/SL levels and statistics will not work as intended.
🔎 What can you use this indicator for?
Identifying Buy and Sell opportunities on Gold
Visual Take Profit (TP) and Stop Loss (SL) levels based on Renko bricks
Simple trade statistics (total trades & win rate)
Supporting manual decision-making — this is not an auto-trading system
📊 How it is meant to be used
This indicator is intended to be used as a visual trade assistant:
Wait for a Buy or Sell signal
Manually enter your trade
Use the plotted TP and SL levels as guidance
Manage risk yourself
It does not place trades automatically and should not be used as a standalone system without proper risk management.
⚠️ Disclaimer
This indicator is for educational and research purposes only.
Trading involves risk, and past results do not guarantee future performance.
MASU+ Institutional: Trade Like the Smart MoneyMASU+ Institutional is not just an indicator—it is a complete trading ecosystem. It combines Smart Money Concepts (SMC), Order Flow Analysis, and Multi-Timeframe Logic into a single, powerful "Head-Up Display" (HUD).
Stop cluttering your charts with dozens of lagging indicators. MASU+ filters out the noise and reveals where the institutions are actually stacking their orders.
Key Features
1. The Institutional Dashboard (HUD)
Located in the bottom-right corner, this is the brain of the system. It analyzes the market in real-time to give you a clear "Go / No-Go" status:
Confluence Score (0-5): An algorithmic rating of the current setup. The higher the score, the higher the probability.
Trend Alignment: Scans the 15m, 1H, and 4H trends instantly. Only trade when the timeframes agree.
Volume Pressure: Detects whether Buyers or Sellers are in control of the order flow.
Risk/Reward Calculator: Automatically displays the R:R ratio for the current signal.
2. Smart Money Concepts (SMC)
Professional-grade automated mapping of institutional levels:
Order Blocks (OB): Highlights institutional supply and demand zones (Green/Red boxes).
FVG (Fair Value Gaps): Identifies imbalances where price is likely to return.
Liquidity Sweeps (x): Marks areas where "Stop Hunts" have occurred—perfect for reversal entries.
BOS / CHoCH: Real-time Break of Structure detection.
3. Market Regime Filter (The Cloud)
The background color tells you the state of the market instantly:
Green: Bullish Trend (Longs Only).
Red: Bearish Trend (Shorts Only).
Gray (No-Trade Zone): Choppy/Ranging Market. The system detects low-volatility noise and helps you avoid false breakouts.
4. Order Flow & Volume
See what is happening inside the candles:
VWAP Bands: Institutional dynamic support/resistance levels.
Volume Profile (POC): The "Point of Control" for the current range.
CVD Analysis: Confirms trends with Cumulative Volume Delta.
How to Trade (The Strategy)
LONG Entry (Buy):
Background: Turns Green (Trend is Bullish).
Price Action: Price tests a Bullish Order Block or support level.
Signal: A Green Triangle ▲ appears.
Confirmation: Dashboard shows Confluence Score ≥ 3/5.
SHORT Entry (Sell):
Background: Turns Red (Trend is Bearish).
Price Action: Price rejects a Bearish Order Block or resistance.
Signal: A Red Triangle ▼ appears.
Confirmation: Dashboard shows Confluence Score ≥ 3/5.
Exits (Take Profit / Stop Loss): The indicator automatically plots suggested levels on the chart:
TP Line (Green): Dynamic Take Profit based on Volatility (ATR).
SL Line (Red): Validated Stop Loss level.
Fully Customizable
Every trader is unique. You can toggle every feature in the settings:
Enable/Disable SMC (Order Blocks, FVG).
Adjust Signal Sensitivity (Scalping vs Swing).
Choose specific Correlation Assets (e.g., compare SPX500 with VIX).
Fractal Rays (2-candle)Pattern di presa liquidità, previsione futura su dove il prezzo potrebbe andare.
10 Levels Lines Signals Daily Testing Count # 10 Levels – Lines + Signals + Daily Count + Dashboard
## User Book (Complete Guide)
## 1. Introduction
The **10 Levels – Lines + Signals + Daily Count + Dashboard** indicator is a professional-level **price action and key-level management tool** designed for intraday and positional traders.
It helps you:
* Mark important price levels manually
* Track how price reacts to those levels
* Identify confirmed breakouts
* Monitor live market context via a dashboard
This indicator does **not predict** the market. It **organizes information** so you can make faster and more confident decisions.
## 2. Who Should Use This Indicator
This tool is ideal for traders who:
* Trade **NIFTY / BANKNIFTY / FINNIFTY**
* Trade **stocks using support & resistance**
* Use **breakout, retest, and range strategies**
* Want a **clean chart without clutter**
The indicator is built on three market truths:
1. **Price respects key levels**
2. **Repeated tests weaken a level**
3. **A close beyond a level matters more than a wick**
---
Level Configuration (Most Important Part)
You can define **up to 10 price levels**.
### 5.1 Enabling Levels
For each level:
* Turn **Enable Level ON**
* Enter the **price value**
You can enable only the levels you need.
### 5.2 What Levels Should You Use?
Recommended levels:
* Previous Day High (PDH)
* Previous Day Low (PDL)
* Day Open
* Pre-market High / Low
* Weekly High / Low
* Round numbers (25000, 25500)
* Major rejection wicks
* VWAP or VWAP bands
You do **not** need all 10 levels.
---
## 6. Visual Elements Explained
### 6.1 Horizontal Level Lines
* Drawn at your selected prices
* Extend to the right automatically
* Act as **support / resistance zones**
Each line has a **price label** on the right side for easy reading.
---
### 6.2 Touch Labels (Price Reaction Counter)
Whenever price touches a level:
* A label appears near the candle
* Shows the level price and touch count
Example:
```
25050 (3x)
```
This means price has tested this level **3 times today**.
🔁 Touch count resets every new trading day.
---
### 6.3 Why Touch Count Matters
* 1–2 touches → Strong / fresh level
* 3–4 touches → Level getting weaker
* Many touches → High breakout probability
This helps you judge **level strength**, not just price location.
---
### 6.4 LONG & SHORT Signals
The indicator generates confirmation signals:
* **LONG** → Candle closes above a level
* **SHORT** → Candle closes below a level
Important:
* Signals are based on **close**, not wick
* Signals are **contextual**, not automatic trades
Use them with trend and structure confirmation.
---
## 7. Dashboard (Your Control Panel)
The dashboard shows live market context in one place.
### 7.1 Nearest Level (Blinking)
* Shows the level closest to current price
* Displays distance in points
* Blinks to draw attention
This answers instantly:
> “Which level is price reacting to right now?”
---
### 7.2 Level Status Table
For each enabled level, the dashboard shows:
* Level name (L1–L10)
* Price
* Touch count (tested X times)
* Status:
* ABOVE (price is above the level)
* BELOW (price is below the level)
This removes guesswork and saves time.
## 8. Settings Explained
### 8.1 Display Controls
* Show / hide LONG & SHORT signals
* Show / hide touch labels
* Limit number of labels on chart
Keeps charts clean and readable.
---
### 8.2 Label & Distance Settings
You can adjust:
* Price label distance
* Touch label distance
* Touch label size
* Signal label distance
Useful for different timeframes and instruments.
---
### 8.3 Dashboard Position
You can move the dashboard:
* Left or Right
* Top, Middle, or Bottom
Choose a position that does not block candles.
---
Breakout Trading
* Wait for multiple touches near a level
* Enter only after **close above / below**
* Use level as risk reference
## 11. Best Practices
* Use fewer, higher-quality levels
* Combine with trend direction
* Avoid trading mid-range (between levels)
* Respect high touch counts
Hybrid SME Gold - PRO Filtered Radar💡 Professional discretionary radar for Gold (XAUUSD)
This indicator is designed to support discretionary traders using Smart Money concepts.
Unlike fully automated EAs, which often fail on “Trap” and “Breakout” setups, this tool highlights only high-probability zones for human judgment.
This tool captures the initial movement of an explosive stop loss. By entering the moment the signal appears, you can ride the initial movement of the breakout.
Key Features
Separate visual signals for Trap (counter-trend liquidity sweeps) and Breakout (trend-following moves)
Displays HVN (high-volume nodes) and VWAP for institutional reference
Multi-timeframe trend filter (15m and 1h) to reduce false signals
Volume spike and range breakout filters remove low-probability setups
Background color and labels visualize winning vs. losing side
Fully compatible with TradingView alerts (push notifications, emails, or webhook)
Intuitive Japanese/English labels for clear decision-making
Signal Explanation
Signal Display Meaning
🔥 Trap LONG Label + Red background Counter-trend buy opportunity (trapped losers)
🔥 Trap SHORT Label + Red background Counter-trend sell opportunity (trapped losers)
🚀 Break LONG Label + Green background Trend-following buy (institutional participation)
🚀 Break SHORT Label + Green background Trend-following sell (institutional participation)
Recommended Usage
Timeframes: 5m to 1h
Use background color + labels to quickly identify high-probability zones
Set SL/TP manually based on discretion
Designed as a discretionary trading support tool, not an automated EA
⚠️ Warning: This indicator is for discretionary trading only. Do not use it for fully automated trading.
Benefits
Filters out low-probability Traps that EAs would otherwise enter
Only high-probability zones are highlighted, enabling faster and smarter discretionary decisions
Provides clear visualization of market structure for quick situational awareness
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
Cambio de Tendencia con Beta y Distancia a EMAsMoving Averages:
*EMA 20, 150, and 200.
*EMA 20: Features conditional formatting, changing color between red and green when the price crosses above or below the average, serving as a buy/sell signal.
Dashboard:
*Displays the price distance to the EMAs and the stock's Beta calculation.
Indicators:
*RSI + RSI Moving Average
*MACD
*Konkorde 2.0
BHCryptos Support/ResistanceOur Support/Resistance indicator is a great addition to BHCryptos buy/sell indicator.
This support/resistance indicator has a unique precision and real-time tracking of supply and demand zones.
How it works
Dubble dashed lines indicates strong support/resistance.
Best Regards,
BHCryptos team
BHCryptos Quantum CloudThe BHC Quantum Cloud continuously analyzes live market data across multiple timeframes — from 15-minute to 1-day and weekly intervals — delivering clear, real-time buy and sell signals on every chart.
BHC Quantum Cloud outperforms 100% of TradingView’s top 50 free indicators because it:
-Combines advanced statistics with real-world trading filters.
-Adapts instantly to market conditions.
-Delivers institutional-grade risk control and crystal-clear visuals.
-Keeps it simple — no clutter, no guesswork.
How this indicator works:
A buy signal is confirmed once the candle's closed and the green quantum cloud appears under that specific candle.
A sell signal is confirmed once the candle's closed and the red quantum cloud appears under that specific candle.
The same applies for every single timeframe.
A buy or sell before the confirmation is volatile, meaning it can be changed depending on the market.
Best regards and good luck.
BHCryptos team
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.
Orderflow [Sir Pickle] Orderflow is an orderflow and liquidity framework that keeps you aligned with the active orderflow context and bias across multiple timeframes.
It maps actionable zones (where reactions are expected) and objective boundaries (where a move is considered completed or invalid), and actively manages the lifecycle of those structures so the chart stays current while you trade.
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What it provides on-chart
Multi-timeframe internal range liquidity zones (FVG/BAG) plotted as price areas, color-coded per timeframe (universal color mode is default).
External liquidity boundaries (ERL) plotted as target/limit lines associated with the active context.
Overlapping swing confluence marked when swing points align with an active zone.
Check LTF validity warning for edge cases where the order of events cannot be resolved from the current timeframe alone (highlight + tooltip), plus a limited-data warning when higher timeframe orderflow cannot be reliably evaluated due to insufficient chart history.
Bias / status per timeframe showing whether each context is reacting or failing, with optional manual overrides.
Orderflow reliability score (follow-through vs failure) shown for higher-timeframe contexts as a statistical calibration tool, based on valid historical reactions in the current chart data.
Execution behavior – what it does while price moves
Tracks up to 6 configurable timeframes (15m, 1h, 4h, D, W, M) using a top-down approach, where higher-timeframe orderflow governs directional bias and lower-timeframe analysis is constrained to that context.
Auto-updates and extends drawings in real time, with options to stop zones from expanding after mitigation, change zone styling once mitigated, show/hide ERL lines until the connected IRL is mitigated, and keep drawings on chart after they are no longer relevant.
Built-in handling for markets with gaps: optional setting to treat liquidity voids as valid IRLs/FVGs/BAGs.
Context hygiene – clean, distraction-free execution context
Zones and boundaries are invalidated and removed when ...
... price decisively trades through the zone,
... the context completes (objective boundary reached after mitigation),
... a flip/override condition makes the prior context irrelevant.
Additional cleanup removes older, duplicate, or low-quality zones to prevent stacked noise.
Orderflow reliability tracking
The indicator logs outcomes of valid orderflow reactions and shows a reliability score for the two timeframes above your chart timeframe (sample count + follow-through vs failure statistics). This can help identify assets and timeframes where orderflow is respected more consistently.
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.
Rapid Signal Geometry (Multi-TF)Rapid Signal Geometry (RSG)
Structure-Driven Market Geometry & Signal Framework
Rapid Signal Geometry (RSG) is a structure-first trading framework designed to separate directional market geometry from entry execution .
Instead of relying on indicator crossovers or lagging confirmations, RSG evaluates price expansion, volatility boundaries, and candle geometry to determine when the market has structurally shifted.
The indicator is built for traders who prefer fewer, higher-quality signals and a clear, rule-based understanding of market direction across timeframes.
Conceptual Design (Why RSG Exists)
Most signal tools attempt to detect entries directly, which often results in:
Late signals
Repeated signals in chop
Entries taken against higher-timeframe structure
RSG addresses this by decoupling market structure from execution .
The framework operates in two coordinated layers :
• Geometry Layer – defines whether the market is structurally bullish or bearish
• Signal Layer – triggers only at the moment of a confirmed structural transition
This design reduces noise, prevents rapid repeated signals, and keeps execution aligned with actual market behavior rather than indicator coincidence.
How RSG Works (High-Level Mechanics)
1. Geometry Baseline
RSG constructs a smoothed price baseline using RMA combined with adaptive volatility (ATR or Standard Deviation).
This produces dynamic geometry bands that expand and contract with real price behavior instead of static levels.
2. Geometry Direction (Trend State)
The market is considered:
• Bullish when price closes decisively above the upper geometry band
• Bearish when price closes decisively below the lower geometry band
Once a geometry state is established, it remains active until an opposite structural condition is confirmed .
There is no trailing logic and no repainting .
3. Signal Generation
Signals are event-based, not continuous:
• A Buy signal appears only at the first bullish geometry transition
• A Sell signal appears only at the first bearish geometry transition
Signals never appear mid-trend and are designed to mark the start of a new structural leg , not continuation noise.
4. Candle Geometry Levels (Visual Guides)
On each signal candle, RSG can optionally plot:
• The candle’s 50% equilibrium level
• A wick-derived reference level
These are non-predictive visual guides intended for:
Entry refinement
Pullback assessment
Confluence with other price-based tools
Filters & Controls (How Components Work Together)
Cooldown + Re-Qualification Filter
Prevents rapid same-direction signals (“machine-gun effect”).
Within the cooldown window, a new signal is allowed only if price re-qualifies at a structurally better level .
Geometry Direction Filter
When enabled:
• Buy signals are shown only during bullish geometry
• Sell signals are shown only during bearish geometry
This allows RSG to function as a higher-timeframe bias engine while executing on lower timeframes.
Reference Timeframe Geometry
Users can select a higher timeframe to calculate geometry bias while trading on a lower timeframe.
All geometry states are derived from closed reference-timeframe candles , ensuring:
No repainting
No intrabar bias changes
How to Use RSG (Practical Workflow)
Recommended Approach
Select a higher timeframe (4H / Daily / Weekly) to define geometry bias
Trade entries on a lower timeframe (15m or 1hr or D)
Execute only in the direction shown by the geometry state
Example:
If geometry shows LONG → ignore Sell signals
If geometry shows SHORT → ignore Buy signals
Best Timeframes
• Geometry / Bias : 4H, Daily
• Execution : 15m and 1hr
RSG is timeframe-agnostic but performs best when structure and execution are separated .
Important Notes
• No repainting
• Signals are printed only after confirmed candle close
• This is a structural analysis tool, not a prediction system
• Always apply proper risk management
Who RSG Is Designed For
• Traders who prioritize structure over indicators
• Traders seeking clean, rule-based signals
• Price-action and geometry-focused traders
• Traders who prefer confirmation over frequency
Disclaimer
This script is a technical analysis tool and does not constitute financial advice. Trading involves risk. Always test on historical data and apply appropriate risk management.
Update Notes – Alert Reliability Improvement
• Alerts now trigger strictly on confirmed candle close
• Removed intrabar / forming-candle alert behavior
• Implemented forced alert() logic so alerts remain active without manual re-enable
• Signal logic and plotting behavior remain unchanged
Important:
When creating alerts, select “ Any alert() function call ”.
Adaptive ER-Supertrend AlertsDescription:
This indicator is an advanced trend-following system that evolves the classic Supertrend concept by adding dynamic volatility adjustment and multi-stage signal filtering.
Core Logic:
Efficiency Scaling: Instead of a static multiplier, this script calculates the Kaufman Efficiency Ratio (ER). The multiplier is dynamically adjusted: in trending markets (high ER), the bands tighten; in choppy markets (low ER), the bands expand to reduce noise.
Price Hysteresis: To prevent "whipsaws" during minor pullbacks, a 0.5% buffer zone is integrated into the trend detection. The trend only flips when price closes beyond this buffer.
Execution Filters:
- Trend Filter: Optional MA filter (supporting SMA, EMA, WMA, HMA, VWMA, RMA, and ALMA) to ensure trading with the trend.
- Momentum Filter: MACD signal cross-confirmation.
- Liquidity Filter: Volume must be above its 50-period moving average (default) to validate the breakout.
Alerts:
- Integrated Alerts: Includes dedicated alert conditions for Long and Short entries.
- Signal Management: Users can toggle between seeing every valid setup or only the initial entry per trend cycle (Filter Repeat Signals).
Optimization:
Specifically tuned for ETHUSD on the 4H timeframe.
RSI Channels + Divergences + Trade SignalsRSI momentum analysis vs price trend, highlights rsi change in momentum. Shows divergences and pivot signals to better evaluate the price trend if trend is about to shift. long and short signals based on divergences.






















