真實波幅均值(ATR)
Close Difference Histogram with EMA SD Bands and LinesIndicator for the NSI system.
Possible use on the 3D timeframe for BTC.
Safari Dynamic GridThis indicator is designed to determine volatility in conditional percentages. This indicator can be used as the length of the averaging grid for DCA strategies, or the Martingale averaging strategy. It has a Grid Q parameter that acts as a coefficient for the conditional grid. There will be different values for Long and Short. You can use this indicator for your strategy without having to use different indicators or different parameters of the same indicator for different trading pairs. The indicator is universal, requires a minimum of settings, and shows volatility for each trading pair, depending on the nature of the price movement. It is recommended to apply it on a 5-minute timeframe
ATR (14) Watermark📈 ATR (14) Watermark – Volatility Snapshot on Your Chart
This lightweight overlay displays the ATR (14) value and its percentage of the current price directly on your chart — along with a visual cue (🔴🟡🟢) to indicate volatility levels.
🔧 Features:
ATR (14) value and percentage of current price
🔴 High, 🟡 Medium, 🟢 Low volatility indicator
Adjustable vertical & horizontal positioning
Fully configurable text size and color
Clean, unobtrusive table watermark overlay
This tool is perfect for traders who want to quickly assess volatility without crowding the chart with lines or indicators.
RSI TrendSignal🔍 **Smart RSI System – Free & Open Source**
A powerful RSI-based indicator designed for traders who want clarity, simplicity, and filtered signals that *actually mean something*.
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### 🎯 Key Features:
✅ Classic RSI with custom smoothing
✅ Optional Bollinger Bands over RSI
✅ Built-in Divergence Detection (Regular Bullish/Bearish)
✅ Dynamic Buy/Sell Conditions based on RSI + MA cross
✅ STAR signals for high-conviction entries (Overbought/Oversold + strength filter)
✅ ATR-based strength filter and custom visualizations
✅ Works great on **crypto**, **forex**, or **indices**
✅ Fully open-source and beginner-friendly!
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### 📊 Recommended Timeframes:
15min, 1H, 4H, Daily – test and adjust settings for your style.
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### ⚙️ How to Use:
1. Watch for **Buy/Sell** shapes when RSI confirms crossover with smoothed MA.
2. **STAR signals** are stronger – when RSI is above 70 or below 30 with momentum separation.
3. Divergences (optional) can confirm reversals.
4. Use ATR plot or your own trailing stop logic for exit strategy.
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🔔 Alerts are built-in and ready to use.
📌 You can connect them to bots, webhooks, or Telegram (see alert templates in the script).
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🧠 **Built by a trader, for traders.**
Use this as a base and build your own version – or just trade it as is.
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💬 **Feedback / Questions / Want to talk?**
Feel free to message me on Telegram:
👉 (t.me/Ario_pinescript_pogramer)
This is a clean version of RSI TrendSignal with improved alerts.
It uses RSI cross with a smoothed moving average to generate filtered buy/sell signals.
No external links or bots. Fully compliant with TradingView rules.
📺 Demo & Tutorial coming soon on my YouTube channel – stay tuned
Range Breakout + TradePulse HUD + Momentum GlowRange Breakout + TradePulse HUD + Momentum Glow
Overview
The Range Breakout + TradePulse HUD + Momentum Glow is a sophisticated Pine Script® indicator for TradingView, engineered to provide traders with a comprehensive toolkit for identifying breakout opportunities, monitoring real-time market dynamics, and visualizing momentum shifts. By integrating volatility-based channels, a dynamic heads-up display (HUD), and momentum-driven background glow, this indicator empowers traders with actionable insights for scalping, day trading, or swing trading across stocks, forex, and cryptocurrencies.
Key Features
Range Breakout System
ATR-Based Dynamic Channels: Constructs upper, lower, and mid-channel lines using a smoothed Average True Range (ATR) multiplied by a customizable factor (default: 4x), adapting to market volatility for precise breakout detection.
Breakout and Reversal Signals: Generates buy (▲) and sell (▼) signals on mid-channel crossovers, with an optional trend filter to align with the prevailing market direction, enhancing signal reliability.
Fakeout Detection: Optionally displays "X" markers for fakeout signals when price briefly breaches channel boundaries but fails to sustain the move, helping traders avoid false breakouts.
Customizable Visuals: Offers adjustable channel colors, gradient fill options, and transparency settings for a clean, user-friendly chart display.
TradePulse HUD
Real-Time Market Dashboard: A sleek, top-center HUD provides critical metrics on the last confirmed bar, including:
Price: Current price, color-coded (green for up, red for down).
Price Change (%): Percentage change with customizable alert thresholds for significant spikes (default: 3%).
Volume Analysis: Displays volume direction (Bullish, Bearish, Neutral) and highlights "Hype" surges when volume exceeds a user-defined threshold relative to its standard deviation (default: 1.5x).
Trend Direction: Derived from EMA crossovers (fast: 4-period, slow: 6-period) and volume confirmation, shown as Bullish, Bearish, or Neutral.
Momentum Score: A normalized RSI-based score (0–100), color-coded for overbought (>70) or oversold (<30) conditions.
Signal Confidence: A composite score (0–100) combining RSI, volume, and EMA divergence to evaluate signal strength.
Session Trend: Tracks intraday trends during key US market sessions (Open: 9:30–10:00, Mid: 10:00–14:00, Power Hour: 14:00–16:00, US Eastern Time) with emoji indicators ( for bullish, for bearish, for neutral).
RSI: Displays current RSI with customizable overbought (default: 65) and oversold (default: 35) levels.
Customizable HUD: Toggle visibility and adjust colors for a tailored trading experience.
Momentum Glow
Dynamic Background Visualization: Highlights strong market momentum with a background glow (green for bullish when RSI > 80, pink for bearish when RSI < 20), toggleable for minimal chart clutter.
Trend Confirmation: Combines channel breakouts with EMA crossovers and volume thresholds to identify high-probability bullish and bearish zones, ideal for trend-following strategies.
Session-Based Filtering: Excludes low-volatility "barcode" patterns (price range < 60% of average) to focus on actionable trends during active market hours.
Alert System
Robust Alerts: Configurable alerts for:
Buy/sell signals with optional trend filtering.
Price spikes exceeding the user-defined threshold.
"Hype" volume surges with a cooldown period (default: 5 bars) to prevent repetitive alerts.
EMA bullish/bearish crossovers for trend confirmation.
Flexible Thresholds: Customize price change, volume spike, and hype volume multipliers to align with specific trading strategies.
How It Works
Range Breakout: Calculates a central channel line (HL2) with upper and lower boundaries based on ATR. Breakouts are detected when price crosses these boundaries, while buy/sell signals trigger on mid-channel crossovers, validated by stability and optional trend filters.
TradePulse HUD: Integrates EMA, RSI, volume, and price data into a real-time, top-center dashboard, providing a holistic view of market conditions.
Momentum Glow: Enhances trend visualization with background glow for extreme RSI conditions, reinforcing breakout signals and trend direction.
Session Analysis: Monitors price behavior during key trading sessions, filtering out low-range periods to highlight high-probability trading opportunities.
Settings
Range Breakout Settings:
Line Extension Length: Duration of breakout lines (default: 100 bars).
Channel Width Multiplier: ATR multiplier for channel width (default: 4x).
Show Fakeout Signals: Toggle fakeout markers (default: disabled).
Filter Signals by Trend: Align signals with the broader trend (default: disabled).
Colors and Transparency: Customize channel colors and fill opacity.
TradePulse HUD Settings:
Show HUD: Enable/disable HUD display.
Show Momentum Glow: Toggle background glow for momentum visualization.
Price Change Alert Threshold: Percentage for price spike alerts (default: 3%).
Volume Spike Multiplier: Threshold for volume spikes (default: 1.2x average).
Hype Volume Multiplier: Threshold for "Hype" surges (default: 1.5x standard deviation).
Hype Cooldown: Minimum bars between hype alerts (default: 5).
EMA Periods: Fast (default: 4) and Slow (default: 6) for trend detection.
RSI Settings: Period (default: 14), overbought (default: 65), oversold (default: 35).
How to Use
Add the indicator to your TradingView chart.
Customize settings to match your trading style (e.g., adjust channel width, enable trend filters, or tweak HUD colors).
Monitor breakout signals (▲ for buy, ▼ for sell), fakeout markers (X), and HUD metrics for real-time context.
Use session trend indicators (//) to identify high-probability trading zones.
Set up alerts for breakouts, price spikes, volume surges, or EMA crossovers to stay informed.
Notes
License: Mozilla Public License 2.0 (mozilla.org).
Author: © StanTheTradingMan
Version: Pine Script® v6
Best Used With: Liquid markets (stocks, forex, crypto) on intraday or daily timeframes.
Optimization: Adjust ATR multiplier, EMA periods, and RSI thresholds to optimize for specific assets or strategies.
Why Use This Indicator?
The Range Breakout + TradePulse HUD + Momentum Glow delivers a powerful combination of breakout detection, real-time market analytics, and momentum visualization. Its intuitive HUD, dynamic glow feature, and robust alert system make it an essential tool for traders seeking clarity and precision in fast-moving markets. Whether capturing intraday moves or riding longer-term trends, this indicator equips you with the insights to trade confidently.
Get Started
Apply the indicator to your chart, fine-tune settings to suit your strategy, and leverage its advanced features to elevate your trading. For feedback or questions, connect via TradingView.
TradeMaster PRO v1.0TradeMaster PRO v1.0 – Smart Entry/Exit + Risk Dashboard
TradeMaster PRO v1.0 is a high-performance trading assistant designed for precision entries, dynamic take-profits, and intelligent risk management. Built for intraday and swing traders, it combines trend detection, VWAP-based confluence, swing logic, and a fully integrated trade/risk dashboard.
⸻
✅ Core Features:
• Smart Signal Logic:
• Combines Supertrend, ATR deviation zones, and VWAP-based filters.
• Filters signals with a 200 EMA trend confirmation.
• Alternating buy/sell logic avoids redundant entries.
• Dynamic Entry/Exit System:
• Entry price and stop-loss (SL) calculated automatically on each signal.
• Take Profits (TP1/TP2/TP3) can be based on:
• Previous swing highs/lows or
• Custom risk-reward ratios (R-Multiples).
• Trailing Stop Loss (TSL):
• Auto-adjusts based on TP hits for locking profits.
• SL → Entry after TP1, SL → TP1 after TP2, SL → TP2 after TP3.
• Live Trade Management Panel:
• Status messages like SL Hit, TP1/2/3 Hit, and Opposing Signal Alerts.
• All plotted visually on chart for clarity.
• Mini Trade Dashboard (Top-Right):
• Shows Entry, SL, TP levels, and their % distances from entry.
• Trade type (Buy/Sell) clearly marked.
• Risk Dashboard (Bottom-Right):
• Calculates:
• Ideal Position Size based on Account Size, Risk %, and Leverage.
• Capital Required.
• Live PnL and % of Position Closed.
• Dynamic Risk-Reward Ratios (Live / Max / Achieved).
• Alerts:
• Instant Buy/Sell alerts for automation or notification setup.
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⚙️ User Inputs:
• Supertrend parameters: ATR Length, Factor
• VWAP-based confluence tuning (Period, Alpha)
• Stop Loss %
• Swing Length for TP detection
• Toggle: Swing-based vs R-Multiple TPs
• TP R values: TP1/2/3
• Risk Settings: Account Size, Risk %, Leverage
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📊 Recommended Timeframes:
• Optimized for 5-min and above
• Ideal for intraday, short-term swing trading
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🚀 Use Cases:
• Manual traders looking for structured trade setups
• Algo-traders who want visual + quantitative signal support
• Strategy testers validating fixed RR models or swing logic
System 0530 - Stoch RSI 指标 (带ATR)Indicator Overview: System 0530 - Stoch RSI Signals (ATR Filtered)
This indicator displays potential long and short signals directly on your chart. It combines a dual-timeframe Stochastic RSI analysis (using the current chart timeframe and the 15-minute timeframe) with an ATR (Average True Range) volatility filter.
Signal Logic:
Initial Trigger: Based on Stochastic RSI crossovers and overbought/oversold levels on the current chart timeframe (e.g., 5-minute).
Confirmation: Seeks further confirmation from the 15-minute Stochastic RSI.
ATR Filter: An optional ATR filter helps ensure signals are considered only when market volatility is deemed sufficient.
Signal Cooldown: Prevents too many signals of the same direction in rapid succession.
Display:
Long Signals: Marked with a green upward triangle below the price bar.
Short Signals: Marked with a red downward triangle above the price bar.
Purpose: Designed to assist traders in identifying potential entry points based on Stochastic RSI conditions and market volatility. Users can adjust various parameters to suit different instruments and trading strategies.
ATR% Multiple from MAThis indicator builds upon the original idea by jfsrevg of using the ATR% multiple from a daily 50-period moving average to highlight when a stock or instrument is extended relative to its own volatility. My version expands on this by incorporating an ADR% (Average Daily Range percentage) volatility filter, which helps refine the signals to adapt better to different instruments and timeframes.
What it does:
• Calculates the 50-period simple moving average (SMA) using daily data as the baseline trend reference.
• Measures the instrument’s Average True Range (ATR) relative to the current close (ATR%).
• Uses this ratio to identify when an instrument is significantly extended above its average volatility-based range.
• Adds a dynamic ADR% filter — computed as the average daily range divided by the daily close — to adjust the extension threshold dynamically based on recent price volatility.
• Plots small circles above price bars when extension conditions are met, signaling potential overbought conditions.
•The script works on both daily and weekly timeframes, but all volatility calculations are based on daily data to ensure consistency.
How to use:
• Traders can use this indicator to spot when a stock or instrument is significantly stretched relative to its own volatility, which may signal a good time to scale out or manage risk.
• The dynamic ADR% filter helps reduce false positives by adjusting thresholds based on market conditions.
• Use the customizable settings for ATR length, SMA length, and ADR length to fine-tune the indicator for your preferred instruments.
Original Contributions:
• Integrated an ADR% filter that refines the extension threshold based on real-time volatility.
• Added dynamic thresholds that adapt to market conditions, making the indicator more reliable across different instruments and timeframes.
• Maintained daily volatility calculations while allowing signals to appear on both daily and weekly charts.
ATR Value on Chart_MCIthere are no indicators which showing ATR value in pips directly. This indicator is in Value of ATR in pips. Multiplier 1.5 times to forecast upcoming volatility and place SL reference before opening a trade
ATR-InfoWHAT IT SHOWS
- ATR (): Average True Range of the chosen timeframe, printed with the instrument’s native tick precision (format.mintick).
- ATR % PRICE: ATR divided by the latest close, multiplied by 100 – the range as a percentage of current price.
- LEN / TF: The ATR length and timeframe you selected (shown in small print).
INPUTS
- ATR Length (default 14)
- ATR Timeframe (for example 60, D, W)
- Design settings: table position, font size, colours, border
EXAMPLES
BTC-USD: price 67 800, ATR 2 450, ATR % 3.6
NQ E-Mini: price 18 230, ATR 355, ATR % 1.9
CL WTI: price 76.40, ATR 2.10, ATR % 2.8
EUR-USD: price 1.0860, ATR 0.0075, ATR % 0.69
USE CASES
Volatility-adjusted stops: place your stop roughly one ATR beyond the entry price.
Position sizing: money at risk divided by ATR gives the number of contracts or coins.
Market selection: trade assets only when their ATR % sits in your preferred range.
Strategy filter: trigger entries or exits only when ATR % crosses a chosen threshold.
LIMITS
ATR is descriptive; it does not predict future moves.
Illiquid symbols may show exaggerated ATR spikes.
ATR % ignores differing session lengths (24/7 crypto versus exchange-traded hours).
IFF Analyzer - AccelPhase v1.99IFF Analyzer - AccelPhase v1.99 is an advanced technical module for quantitative market phase analysis.
This script provides:
✅ Smoothed acceleration curves (logarithmic return-based).
✅ Dynamic slope.
✅ Phase Strength Index (IFF).
✅ Z-Score for statistical anomaly detection.
✅ Quantitative interpretation of market context.
Designed to confirm phase shifts, filter out false signals, and optimize strategies across indices, commodities, forex, and cryptocurrencies.
Invite-only script.
To get access: contact via DM or through Gumroad.
BK AK-Scope🔭 Introducing BK AK-Scope — Target Locked. Signal Acquired. 🔭
After building five precision weapons for traders, I’m proud to unveil the sixth.
BK AK-Scope — the eye of the arsenal.
This is not just an indicator. It’s an intelligence system for volatility, signal clarity, and rate-of-change dynamics — forged for elite vision in any market terrain.
🧠 Why “Scope”? And Why “AK”?
Every shooter knows: you can’t hit what you can’t see.
The Scope brings range, clarity, and target distinction. It filters motion from noise. Purpose from panic.
“AK” continues to honor the man who trained my sight — my mentor, A.K.
His discipline taught me to wait for alignment. To move with reason, not emotion.
His vision lives in every code line here.
🔬 What Is BK AK-Scope?
A Triple-Tier TSI Correlation Engine, fused with adaptive opacity logic, a volatility scoring system, and real-time signal clarity. It’s momentum dissected — by speed, depth, and rate of change.
Built to serve traders who:
Need visual hierarchy between fast, mid, and slow TSI responses.
Want adaptive fills that pulse with volatility — not static zones.
Require a volatility scoring overlay that reads the battlefield in real time.
⚙️ Core Systems: How BK AK-Scope Works
✅ Fast/Mid/Slow TSI →
Three layers of correlation: like scopes with zoom levels.
You track micro moves, mid swings, and macro flow simultaneously.
✅ Rate-of-Change Adaptive Opacity →
Momentum fills fade or flash based on speed — giving you movement density at a glance.
Bull vs. Bear zones adapt to strength. You feel the market’s pulse.
✅ Volatility Score Intelligence →
Custom algorithm measuring:
Range expansion
Rate-of-change differentials
ATR dynamics
Standard deviation pressure
All combined into a score from 0–100 with live icons:
🔥 = Extreme Heat (70+)
🧊 = Cold Zone (<30)
⚠️ = ROC Warning
• = Neutral drift
✅ Auto-Detect Volatility Modes →
Scalp = <15min
Swing = intraday/hourly
Macro = daily/weekly
Or override manually with total control.
🎯 How To Use BK AK-Scope
🔹 Trend Continuation → When all three TSI layers align in direction + volatility score climbs, ride with the trend.
🔹 Early Reversals → Opposing TSI + rapid opacity change + volatility shift = sniper reversal zone.
🔹 Consolidation Filter → Neutral fills + score < 30 = stay out, wait for signal surge.
🔹 Signal Confluence → Pair with:
• Gann fans or angles
• Fib time/price clusters
• Elliott Wave structure
• Harmonics or divergence
To isolate entry perfection.
🛡️ Why This Indicator Changes the Game
It's not just momentum. It’s TSI with depth hierarchy.
It’s not just color. It’s real-time strength visualization.
It’s not just volatility. It’s rate-weighted market intelligence.
This is market optics for the advanced trader — built for vision, clarity, and discipline.
🙏 Final Thoughts
🔹 In honor of A.K., my mentor. The man who taught me to see what others miss.
🔹 Inspired by the power of vision — because execution without clarity is chaos.
🔹 Powered by faith — because Gd alone gives sight beyond the visible.
“He gives sight to the blind and wisdom to the humble.” — Psalms 146
Every tool I build is a prayer in code — that it helps someone trade with clarity, integrity, and precision.
⚡ Zoom In. Focus Deep. Trade Clean.
BK AK-Scope — Lock on the target. See what others don’t.
🔫 Clarity is power. 🔫
Gd bless. 🙏
Stock Info LabelThis label can be added to the chart to display:
| **Vol** | Today’s volume (in millions) |
| **Avg Vol** | Average daily volume over the past 20 days (in millions) |
| **RVOL** | Relative Volume: today's volume compared to average volume, in % |
| **ATR** | Average True Range over the past 14 days (daily ATR) |
| **ATR%** | ATR as a percentage of current daily close price |
| **%LoD** | Distance from daily **Low** to current close, as % of daily **ATR** |
| **%HoD** | Distance from current close to daily **High**, as % of daily **ATR** |
Not All FVGs Are The Same
Overview:
"Not All FVGs Are The Same" is a powerful TradingView indicator designed to pinpoint high-quality Fair Value Gaps (FVGs) on your chart. Unlike generic FVG tools, this indicator uses advanced filtering to highlight only the most significant gaps, helping traders identify high-probability setups with precision and clarity. With customizable visuals and real-time alerts, it’s built for traders who want to focus on meaningful market opportunities.
Why It’s Different:
This indicator stands out by detecting FVGs that meet strict criteria for quality, ensuring you’re not distracted by minor or unreliable gaps. It analyzes price action patterns and market volatility to confirm that each FVG represents a significant imbalance, perfect for spotting potential reversal or continuation zones.
Key Features:
High-Quality Detection: Identifies FVGs formed by strong, consistent price movements, filtering out weak or noisy gaps for reliable trading signals.
Volatility-Based Filtering: Uses market volatility to ensure only substantial FVGs are displayed, adapting to different market conditions.
Customizable Visuals: Marks FVGs with clear, semi-transparent boxes that show the gap’s range and duration, with an option to toggle labels for a clean chart.
Real-Time Alerts: Get instant notifications when new bullish or bearish FVGs are detected, keeping you ahead of the market.
Focused Display: Limits the number of FVGs shown to keep your chart uncluttered, emphasizing the most recent and relevant gaps.
User-Friendly Settings: Easily adjust sensitivity, gap size, and visual styles to match your trading strategy and preferences.
How It Helps Traders:
By focusing on high-quality FVGs, this indicator helps you identify key price levels where the market is likely to react. Whether you trade breakouts, reversals, or trend continuations, the clear visuals and precise detection make it easier to spot opportunities with confidence.
Settings:
ATR Length: Adjusts the volatility filter for FVG detection (default: 10).
Minimum FVG Size: Sets the smallest gap size to consider (default: 2 bars).
Show Last X FVGs: Controls how many recent FVGs are displayed (default: 20).
Enable Sensitivity Check: Turn on/off volatility-based filtering (default: on).
Allow Gaps Between Bars: Choose whether to include gaps with price discontinuities (default: off).
Show Labels: Toggle FVG detection labels on or off (default: on).
Style Options: Customize bullish/bearish FVG colors, text color, and label size for clear visuals.
How to Use:
Apply the indicator to your chart and tweak the settings to suit your market and timeframe. Enable alerts to stay updated on new FVGs in real-time. Use the boxes to identify key support/resistance zones and combine with your strategy for optimal trading decisions.
Note: Designed for efficiency, this indicator works smoothly across timeframes and instruments. Experiment with settings to find the best fit for your trading style, and use the toggleable labels to keep your chart clean when needed.
ATR Percentage TableSimple ATR shows the average price change per candle. In order to enter a trade, I need to know how much percent I will win.
I should enter the game for the cross with the highest percentage change. I created a table by entering a cross name in each line in the list and made it possible to follow the changes in the active window.
I sorted the ATR change percentages from largest to smallest. Being able to see the highest percentage change is an answer to the question of which crosses I should choose to open a trade.
Range Progress TrackerRANGE PROGRESS TRACKER(RPT)
PURPOSE
This indicator helps traders visually and statistically understand how much of the typical price range (measured by ATR) has already been covered in the current period (Daily, Weekly, or Monthly). It includes key features to assist in trend exhaustion analysis, reversal spotting, and smart alerting.
CORE LOGIC
The indicator calculates the current range of the selected time frame (e.g., Daily), which is:
Current Range = High - Low
This is then compared to the ATR (Average True Range) of the same time frame, which represents the average price movement range over a defined period (default is 14).
The comparison is expressed as a percentage, calculated with this formula:
Range % = (Current Range / ATR) × 100
This percentage shows how much of the “average expected move” has already occurred.
WHY IT MATTERS
When the current range approaches or exceeds 100% of ATR, it means the price has already moved as much as it typically does in a full session.
This indicates a lower probability of continuing the trend with a new high or low, especially when the price is already near the session's high or low.
This setup can signal:
A possible consolidation phase
A reversal in trend
The market entering a corrective phase
SMART ALERTS
The indicator can alert you when:
A new high is made after the range percentage exceeds your set threshold.
A new low is made after the range percentage exceeds your set threshold.
You can adjust the Range % Alert Threshold in the settings to tailor it to your trading style.
Realtime ATR-Based Stop Loss Numerical OverlayRealtime ATR-Based Stop Loss Numerical Overlay
A simple, effective tool for dynamic risk management based on ATR (Average True Range) without adding cluttered and distracting lines all over your chart.
📌 Description
This script plots a real-time stop loss level using the Average True Range (ATR) on your chart, helping you set consistent, volatility-based stops. It supports both:
✅ Current chart timeframe
✅ Custom fixed timeframe inputs (1m, 5m, 15m, 1h, etc.)
The stop level is calculated as:
Stop = ATR × Multiplier
and updates in real-time. An overlay table displays on the bottom-right of your chart with the calculated stop value in a clean, simple way.
⚙️ Settings
ATR Timeframe Source:
Choose between using the current chart's timeframe or a fixed one (e.g. 5, 15, 60, D, etc).
ATR Length:
Period used to calculate the ATR (default is 14).
Stop Loss Multiplier:
Multiplies the ATR value to define your stop (e.g., 1.5 × ATR).
Wait for Timeframe Closes:
If enabled, the ATR value waits for the selected timeframe’s candle to close before updating. If unselected, it will update in real time.
🛠️ How to Use
Add this script to your chart from your indicators list.
Configure your desired timeframe, ATR length, and multiplier in the settings panel.
Use the value shown in the table overlay as your suggested stop loss distance from entry.
Adjust your position sizing accordingly to fit your risk tolerance.
This tool is especially useful for traders looking for adaptive risk management that evolves with market volatility — whether scalping intraday or swing trading.
💡 Pro Tip
The ATR stop can also be used to dynamically trail your stop behind price movement.
Adaptive Momentum Flow (AMF)Overview
The Adaptive Momentum Flow (AMF) indicator is a powerful, multi-faceted tool designed to provide a comprehensive and adaptive view of market momentum and trend strength. Unlike traditional oscillators with fixed settings, AMF dynamically adjusts its calculations based on market volatility , ensuring its signals remain relevant across varying market conditions. By combining advanced Double Exponential Moving Averages (DEMA) with a powerful volume analysis component and a customizable scoring system, AMF offers a unique perspective on price action and underlying buying/selling pressure.
Key Features & How It Works
1. Adaptive DEMA Trend Strength:
At its core, AMF utilizes three DEMA lines (Fast, Medium, Slow) to assess the current trend's alignment and strength.
The indicator dynamically adjusts the lengths of these DEMA lines based on real-time market volatility, measured by Average True Range (ATR). This means AMF becomes more responsive in volatile markets and smoother in calmer periods.
A "Volatility Sensitivity" input allows you to fine-tune how aggressively the indicator adapts to these changes.
2. Volume Analysis (Buying/Selling Pressure):
AMF incorporates a dedicated volume analysis module to gauge whether volume is predominantly supporting upward or downward price movements. This helps identify periods of significant buying or selling pressure.
This volume analysis component is smoothed with an adjustable Moving Average (SMA, EMA, WMA, or DEMA) and contributes to the overall momentum score, adding a crucial layer of volume-driven confirmation to the analysis.
3. Comprehensive Scoring System:
The indicator generates a normalized "Oscillator Score" that ranges from -100 to 100. This score is a weighted sum of:
Price's relationship to the Fast DEMA.
The Fast DEMA's relationship to the Medium DEMA.
The Medium DEMA's relationship to the Slow DEMA.
The smoothed value from the volume analysis.
Each component's influence on the final score can be individually adjusted via input weights, allowing for deep customization.
Signal Line & Crossovers:
A smoothed "Signal Line" provides additional confirmation for momentum shifts. Crossovers between the main AMF line and its Signal Line can indicate potential changes in market direction.
Overbought/Oversold Levels:
Adjustable Overbought (default 70) and Oversold (default -70) levels visually highlight extreme momentum conditions.
These zones are enhanced with a color fill effect (bright red for overbought, bright cyan for oversold), making it easy to spot when the market is entering potentially exhausted states.
Crucially, these extreme zones can often be further validated by combining them with volatility bands (like Bollinger Bands or Keltner Channels as shown in the chart above) or other confluence indicators, offering stronger signals for potential reversals or exhaustion.
Benefits for Traders
Reduced Lag: DEMA's inherent design helps minimize lag compared to traditional moving averages, providing more timely signals.
Adaptive Intelligence: Automatically adjusts to market volatility, ensuring the indicator's sensitivity is appropriate for current conditions.
Holistic Momentum View: Combines price-based trend alignment with volume-based pressure for a more robust assessment of market flow.
Clear Visual Cues: Intuitive plots, signal line, and vibrant overbought/oversold zone fills make interpretation straightforward.
Customizable: Extensive input options allow traders to tailor the indicator to their specific trading style, asset, and timeframe.
How to Use
Trend Confirmation: Look for the AMF line and its Signal Line to align with the price trend.
Momentum Shifts: Crossovers between the AMF line and its Signal Line can indicate shifts in momentum.
Extreme Conditions: Pay attention when the AMF line enters the neon-highlighted overbought or oversold zones, signaling potential reversals or pauses in the current momentum. Always consider confirming these signals with other analysis tools, such as price action, chart patterns, support/resistance levels, or volatility indicators.
Customization: Experiment with the "Volatility Sensitivity," DEMA multipliers, and scoring weights to find the optimal settings for your trading strategy.
Ultimate Volatility CloudUltimate Volatility Cloud
The Ultimate Volatility Cloud is a powerful and highly customizable indicator designed to help traders visualize market volatility, easily identify trend, and overextended moves in price with adaptive bands. It combines the strengths of the Arnaud Legoux Moving Average, Kaufman's Adaptive Moving Average, ATR Channels, and Standard Deviation bands, offering multiple pre-configured profiles and extensive customization options.
Key Features:
Dynamic Volatility Bands: The indicator plots multiple layers of volatility bands around a central basis line, providing a comprehensive view of price deviation.
Hybrid Band Calculation: Bands are a sophisticated blend of Keltner Channels, KAMA ATR Channels and Standard Deviation, allowing for a nuanced representation of volatility.
Adaptive Smoothing: Bands are smoothed using either Exponential Moving Average (EMA) or Kaufman's Adaptive Moving Average (KAMA) based on the selected profile, ensuring responsiveness tailored to market conditions.
Layered Fills: The cloud uses distinct color fills for different volatility levels, making it easy to visually interpret price action relative to its typical range.
Customizable Color Themes: Choose from a variety of pre-set color themes, including "Rainbow," "Wild," and "Monochrome," or stick with classic options to suit your visual preference.
Optional Basis Line Plots: Display the EMA or KAMA basis lines (used in Keltner Channel calculations) separately on the chart for additional analysis.
Understanding the Profiles:
The indicator comes with several pre-configured "Settings Profiles" that adjust the internal parameters (Keltner Channel/KAMA Channel/Standard Deviation band blend, and band smoothing) to suit different trading styles or market environments.
1. Standard Profile:
Blend: 60% Keltner Channel, 40% Standard Deviation.
Smoothing: EMA smoothing of 3 periods.
Purpose: A balanced, general-purpose profile suitable for a wide range of market conditions. It offers a good blend of trend following and volatility awareness.
2. Responsive Profile:
Blend: 40% Keltner Channel, 60% Standard Deviation.
Smoothing: EMA smoothing of 2 period.
Purpose: Designed for traders who need quick reactions to price changes. The higher Standard Deviation blend and minimal smoothing make it highly sensitive to immediate volatility shifts, ideal for short-term analysis or identifying early moves.
3. Ranging Market Profile:
Blend: 80% KAMA ATR Channel, 20% Standard Deviation.
Smoothing: KAMA smoothing.
Purpose: Optimized for sideways or consolidating markets. By utilizing KAMA-based ATR bands and KAMA for band smoothing, this profile adapts its responsiveness to reduce whipsaws in choppy conditions, providing clearer boundaries for range-bound price action.
4. Trend Following Profile:
Blend: 90% Keltner Channel, 10% Standard Deviation.
Smoothing: EMA smoothing of 5 periods.
Purpose: Tailored for riding strong trends. The heavy emphasis on the Keltner Channel and slightly smoother bands help filter out minor fluctuations, allowing traders to focus on the dominant directional movement.
5. Conservative Profile:
Blend: 65% KAMA ATR Channel, 35% Standard Deviation.
Smoothing: EMA smoothing of 10 periods.
Purpose: Aims to provide more filtered signals and reduce noise. The KAMA basis for the Keltner Channel combined with a longer EMA smoothing period offers a slower, more confirmed view of volatility, suitable for traders seeking higher conviction entries or exits.
Example of the Ranging Market Profile
How to Use:
The volatility cloud can be interpreted in various ways:
Price within the inner bands: May indicate consolidation or a period of lower volatility.
Price pushing into outer bands: Suggests increasing volatility and potential for a strong move.
Price breaking out of extreme outer bands: Can signal significant momentum and the start or continuation of a strong trend.
Cloud expansion/contraction: Visually indicates periods of increasing or decreasing market energy.
Experiment with different profiles and settings to find the combination that best suits your trading strategy and the instruments you trade.
Beyond Insights IndicatorThe Beyond Insights Indicator is a multi-timeframe overlay tool designed for TradingView that displays key Exponential Moving Averages (EMAs) and volatility insights to support various trading strategies. It intelligently adapts its display based on the current chart timeframe to reduce clutter and enhance relevance. Specifically, it shows EMA 6, 18, and 50 when viewing intraday timeframes.
In addition to EMAs, the indicator includes an ATR (Average True Range) calculation with a default length of 14, offering insight into market volatility.
Momentum (80) + ATR (14)his indicator combines two essential technical analysis tools in a single panel for enhanced market insight:
🔹 Momentum (80 periods): Measures the difference between the current price and the price 80 bars ago. Displayed as a semi-transparent filled area, it helps to visually identify shifts in price momentum over a longer timeframe.
🔸 ATR (Average True Range, 14 periods): Shown as a fine orange line, the ATR represents average market volatility over 14 periods, highlighting phases of calm or increased price fluctuations.
By viewing both momentum and volatility simultaneously, traders can better assess trend strength and market conditions, improving decision-making across assets such as stocks, forex, and cryptocurrencies.
✅ Suitable for all asset types
✅ Complements other indicators like RSI, MACD, and Bollinger Bands
✅ Categorized under Momentum & Volatility indicators
Candle Range DetectorCandle Range Detector
// Pine Script v6
// Detects candle-based ranges, mitigations, and sweeps with advanced logic
Overview
This indicator automatically detects price ranges based on candle containment, then tracks when those ranges are mitigated (broken) and when a sweep occurs. It is designed for traders who want to identify liquidity events and range breaks with precision.
How It Works
- Range Detection: A range is formed when a candle is fully contained within the previous candle (its high is lower and its low is higher). This marks a potential area of price balance or liquidity.
- Mitigation: A range is considered mitigated when price closes beyond its extension levels (configurable by normal or Fibonacci logic). This signals that the range has been invalidated or "taken out" by price action.
- Sweep Detection: After mitigation, the script watches for a sweep event: a candle that both trades through the range extreme and closes decisively beyond the log-mid of the candle itself. This is a strong sign of a liquidity grab or stop run.
- Alerts & Visuals: You can enable alerts and on-chart labels for sweeps. Only the most recent mitigated range can be swept, and each range can only be swept once.
- Timeframe Sensitivity: On weekly or monthly charts, a candle can both mitigate and sweep a range on the same bar. On lower timeframes, only one event can occur per bar.
Why It Works
- Candle containment is a robust way to identify natural price ranges and liquidity pools, as it reflects where price is consolidating or being absorbed.
- Mitigation marks the moment when a range is no longer defended, often leading to new directional moves.
- Sweeps are powerful signals of stop hunts or liquidity grabs, especially when confirmed by a close beyond the log-mid of the candle, indicating strong intent.
Visual Explanation
Tip: Use this tool to spot high-probability reversal or continuation zones, and to get alerted to key liquidity events in real time.