Momentum Matrix SignalMomentum Matrix Signals is a real-time indicator that finds BUY/SELL signals using a VWMA trend, closing momentum, and a strength score. It allows for re-entries & exits. ⚠️ WARNING: This version repaints; signals can disappear before a bar closes.
Signal Scoring
A signal is only considered if it first meets two mandatory conditions: a momentum trend and VWMA trend alignment.
If these are met, the signal is then scored from 0 to 5 based on a checklist of five factors:
2-Bar Trend: Confirms initial momentum.
3-Bar Trend: Confirms sustained momentum.
VWMA Trend: Confirms main trend alignment.
Volume Pressure (OBV): Confirms money flow.
Volume Spike (RVOL): Confirms market interest.
A higher score indicates a stronger, higher-conviction signal.
廣量指標
Futures Rotation Strategy - Overlay (Tables & Signals)This strategy focuses on the laggards and leaders of the market indices and does some weird stuff and determines which to long or short.
Breadth Strategy: McClellan + ADn (with EMA Exit)This script uses only McClellan Oscillator + ADn Line, exactly as you specified.
Runs breadth calculations on daily timeframe by default (tf = D). You can change to weekly, etc.
Entries/exits are instant when conditions flip.
Both mcoWS and ADn are plotted for visualization.
Breadth Strategy: McClellan + ADnThis script uses only McClellan Oscillator + ADn Line, exactly as you specified.
Runs breadth calculations on daily timeframe by default (tf = D). You can change to weekly, etc.
Entries/exits are instant when conditions flip.
Both mcoWS and ADn are plotted for visualization.
David Dang - Scalp M15/H1 (BTC/USDT)The Scalp Buy/Sell Volume + Support Resistance indicator is designed for traders who like short-term trading (scalping). The tool combines EMA trends, money flow strength (volume) and important support - resistance zones to give entry/exit signals.
Green arrow (BUY): When the price crosses EMA, the volume increases and holds the support zone.
Red arrow (SELL): When the price is below EMA, the volume increases and fails at the resistance zone.
Displayed with EMA, support - resistance lines for traders to easily observe the trend.
🎯 Super MA Arrows with Trend Bands🎯 Core Structure of the Indicator
1. Input Parameters Configuration
One of the most comprehensive indicators, featuring 50+ configurable variables, categorized into:
MA Settings: Define MA types and periods
Signal Settings: Customize signal conditions
Display Settings: Manage visual outputs
AI Settings: Enable/disable learning module
Multi-Timeframe Settings: Analyze across multiple timeframes
2. Moving Average & Envelope Calculations
The indicator employs multiple moving averages and an adaptive envelope:
Fast MA: Captures short-term movement (default: 9)
Slow MA: Reflects overall trend direction (default: 21)
Filter MA: Filters market noise (default: 50)
Envelope: Auto-adjusting support/resistance zones
3. Market Structure Analysis
Purpose: Confirm the market’s directional bias by evaluating swing highs/lows, breakouts, and consolidation zones.
Momentum Signals – Real-time (Repainting)This indicator generates real-time BUY/SELL signals using a confluence of VWMA trend, 3-bar momentum, and volume, then filters them by a strength score.
⚠️ **WARNING:** This version **repaints**; signals can appear and disappear before the bar closes.
Super MA Arrows with Trend Bands1. Input Parameters Configuration
One of the most comprehensive indicators, featuring 50+ configurable variables, categorized into:
MA Settings: Define MA types and periods
Signal Settings: Customize signal conditions
Display Settings: Manage visual outputs
AI Settings: Enable/disable learning module
Multi-Timeframe Settings: Analyze across multiple timeframes
2. Moving Average & Envelope Calculations
The indicator employs multiple moving averages and an adaptive envelope:
Fast MA: Captures short-term movement (default: 9)
Slow MA: Reflects overall trend direction (default: 21)
Filter MA: Filters market noise (default: 50)
Envelope: Auto-adjusting support/resistance zones
3. Market Structure Analysis
Purpose: Confirm the market’s directional bias by evaluating swing highs/lows, breakouts, and consolidation zones.
SMC Multiestruturas (Liquidez + Sweep + Caixa + BOS) [v2]indicador multiframe com identicacao de liquidez manipulação e quebra de estruturas
Qabas systemQabas System — Multi-Layered Smart Trading Framework
The Qabas System is an advanced all-in-one Pine Script indicator designed to combine institutional-grade analysis, smart entry/exit detection, and adaptive risk management into a single framework. It integrates multiple professional trading concepts into one ecosystem, making it suitable for intraday, swing, and position trading.
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Core Components
1. VSA Engine (Volume Spread Analysis)
Detects institutional footprints (accumulation, distribution, no-demand, supply tests) by analyzing the relationship between candle spread, volume, and close location.
2. Order Blocks (Supply & Demand Zones)
Automatically highlights bullish and bearish order blocks with customizable transparency, showing where institutions left unfilled orders.
3. Smart Traps (Liquidity Traps)
Identifies bull and bear traps by detecting abnormal wicks and volume exhaustion near highs/lows — a common reversal signal.
4. Fibonacci Golden Levels
Draws adaptive retracement levels (23.6%, 38.2%, 50%, 61.8%, 78.6) aligned with the current market trend.
5. CPR (Central Pivot Range)
Daily pivot zones acting as magnets for price, helping detect high-probability reversal and breakout areas.
6. Liquidity Zones
Detects liquidity sweeps above highs and below lows combined with strong volume confirmation.
7. Market Structure (Chanlun Waves)
Tracks higher-highs / lower-lows to outline bullish or bearish structural waves.
8. Breakout Engine (Duanxian Gate)
Confirms valid breakouts using EMA/Donchian/Linear Regression baselines with ATR and volume filters.
9. Adaptive Resonance Oscillator (ARO)
A proprietary entry/exit system based on Hilbert transform and RSI resonance, plotting BUY/SELL arrows only when conditions are valid and alternating (to avoid duplicate signals).
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Risk & Trade Management
• Smart ATR / Fibonacci / Structure-based stop loss options.
• Fibonacci / Risk-Reward / Structure-based take profit logic.
• Built-in auto-risk engine with position sizing (% risk per trade).
• ATR-based adaptive targets for breakout scenarios.
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Visualization & Dashboard
• Multiple color themes (Neon, Professional, Matrix, Gold).
• Smart candle coloring for volume spikes and weak drops.
• Order Block boxes with custom transparency.
• A dynamic Arabic/RTL dashboard showing:
• Decision (Buy/Sell/Strong Buy/Strong Sell/Wait)
• Trend strength (across multiple timeframes)
• Volume pressure (Accumulation / Distribution / Neutral)
• Range & Breakout probabilities
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Dynamic Probabilities Engine
The system records historical outcomes near supply/demand boundaries and continuously adapts breakout probability calculations. This enables it to dynamically project probability of ranging vs breaking out, and update targets accordingly.
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How It Works (Step-by-Step)
1. Market Context: Multi-timeframe EMAs define overall trend score.
2. Institutional Clues: VSA, order blocks, traps, CPR, liquidity, and Fibonacci generate signals.
3. Structural Confirmation: Breakouts and wave analysis validate directional bias.
4. Decision Engine: Weighted scoring system fuses all signals into a single decision (BUY / SELL / WAIT) with confidence level.
5. Execution: ARO entry/exit signals provide precise timing inside the broader context.
6. Risk Management: Adaptive stop loss and take profit methods are applied automatically.
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👉 In summary:
The Qabas System acts like an institutional trading toolkit inside one indicator — combining price action, smart volume, liquidity, structure, and adaptive risk to deliver context-aware, probability-driven trade signals with a clear visual dashboard.
Sessions — Asia / London / New York (shaded + start/end arrows)Asian Session London Session Newyork Session
- adjust time its in utc otherwise you will be trading random times
Session Highs & Lows — Customizable + HTF Wick Liquidity (H1/H4)Yesterdays ASIAN LONDON AND NEWYORK highs and Lows
Todays ASIAN LONDON AND NEWYORK highs and lows
1 HOUR AND 4 HOUR LIQ POINTS
Hitu - MTF High/Low Marker
This indicator is a powerful tool for traders, designed to display the high and low levels from multiple significant timeframes directly on your chart. It helps you quickly identify key support, resistance, and liquidity levels at a glance, improving your understanding of the market structure.
Key Features:
* Multi-Timeframe Support: Visualize high and low levels from Monthly, Weekly, Daily, 4H, 1H, 15M, and 5M timeframes.
* Full Customization: Each timeframe's line can be customized with your preferred color and style (Solid, Dashed, or Dotted) directly from the settings.
* Toggle On/Off: You have complete control to enable or disable any timeframe level to match your specific trading strategy.
How It Helps:
The MTF High/Low Marker simplifies the process of finding crucial price zones. By seeing key highs and lows from higher timeframes on your current chart, you can make more informed decisions about your entries, exits, and overall risk management.
Asian Session High/Low + FibThis is a indicator for only Asian season plus FIB it works only Asian season so you apply and enjoy indicator
Smart Money Windows X6Smart Money Windows 📊💰 – See where the pros hide their orders! Spot liquidity traps, smart money zones, and session kill zones before price flips. 🚀🔥
HI LO Today Previous Year Week Month YearHI LO Today Previous Year Week Month Year
Fully operational colours, fonts, label offset, names, and so on
JL - Market HeatmapThis indicator plots a static table on your chart that displays any tickers you want and their % change on the day so far.
It updates in real time, changes color as it updates, and has several custom functions available for you:
1. Plot up to 12 tickers of your choice
2. Choose a layout with 1-4 rows
3. Display % Change or Not
4. Choose your font size (Tiny, Small, Normal, Large)
5. Up/Down Cell Colors (% change dependent)
6. Up/Down Text Colors (high contrast to your color choices)
The purpose of the indicator is to quickly measure a broad basket of market instruments to paint a more context-rich perspective of the chart you are looking at.
I hope this indicator can help you (and me) accomplish this task in a simple, clean, and seamless manner.
Thanks and enjoy - Jack
Weekly High-Low RibbonWeekly set black zone!
better to read speaks for itself black zone no buy above below look at daily open PDL PDH LWH LWL
HI LO DRILL BTTM
Asian Session Pip Boxes 25/50/75 (History) MIN MAX PAST FUTUREAsian Session Pip Boxes 25/50/75 (History)
You can edit minimum and maximum length and days, colours, boxes on off and so on
Setup Cripto EMA + Volume//@version=5 indicator("Sinais Multi-Cripto – EMA+Volume (BTC/ETH/BNB/SOL/XRP)", overlay=false)
// Inputs emaFast = input.int(50, "EMA Curta") emaSlow = input.int(200, "EMA Longa") emaPull = input.int(20, "EMA Pullback") volLen = input.int(20, "Média Volume")
symBTC = input.symbol(defval="BINANCE:BTCUSDT", title="BTC") symETH = input.symbol(defval="BINANCE:ETHUSDT", title="ETH") symBNB = input.symbol(defval="BINANCE:BNBUSDT", title="BNB") symSOL = input.symbol(defval="BINANCE:SOLUSDT", title="SOL") symXRP = input.symbol(defval="BINANCE:XRPUSDT", title="XRP")
f_sig(sym) => c = request.security(sym, timeframe.period, close) v = request.security(sym, timeframe.period, volume) e50 = ta.ema(c, emaFast) e200 = ta.ema(c, emaSlow) e20 = ta.ema(c, emaPull) vma = ta.sma(v, volLen) long = (e50 > e200) and (c > e20) and (v > vma) short = (e50 < e200) and (c < e20) and (v > vma)
= f_sig(symBTC) = f_sig(symETH) = f_sig(symBNB) = f_sig(symSOL) = f_sig(symXRP)
// Exibição plotchar(btcL, title="BTC Long", char="▲", location=location.top) plotchar(btcS, title="BTC Short", char="▼", location=location.bottom) plotchar(ethL, title="ETH Long", char="▲", location=location.top) plotchar(ethS, title="ETH Short", char="▼", location=location.bottom) plotchar(bnbL, title="BNB Long", char="▲", location=location.top) plotchar(bnbS, title="BNB Short", char="▼", location=location.bottom) plotchar(solL, title="SOL Long", char="▲", location=location.top) plotchar(solS, title="SOL Short", char="▼", location=location.bottom) plotchar(xrpL, title="XRP Long", char="▲", location=location.top) plotchar(xrpS, title="XRP Short", char="▼", location=location.bottom)
NYSE Advancing Issues & Volume RatiosOverview
This comprehensive market breadth indicator tracks two essential NYSE ratios that provide deep insights into market sentiment and internal strength:
NYSE Advancing Issues Ratio
NYSE Advancing Volume Ratio
Dual Ratio Analysis
Issues Ratio: Measures the percentage of NYSE stocks advancing vs. total issues
Volume Ratio: Measures the percentage of NYSE volume flowing into advancing stocks
Both ratios displayed as easy-to-read percentages (0-100%)
Customizable Display Options
Toggle each ratio on/off independently
Choose from multiple moving average types (SMA, EMA, WMA)
Adjustable moving average periods
Custom color schemes for better visualization
Reference Levels
50% Line: Market neutral point (gray dashed)
10% Line: Extremely bearish breadth (red dotted)
90% Line: Extremely bullish breadth (green dotted)
Optional background highlighting for extreme readings
Smart Alerts
Cross above/below 50% (neutral) for both ratios
Extreme readings: Above 90% (strong bullish) and below 10% (strong bearish)
Real-time notifications for key market breadth shifts
📈 How to Interpret
Bullish Signals
Above 50%: More stocks/volume advancing than declining
Above 90%: Extremely strong market breadth (rare occurrence)
Divergence: Price making new highs while breadth weakens (potential warning)
Market Timing
Extreme readings (10%/90%) often coincide with market turning points
Breadth thrusts from extreme levels can signal powerful moves
Use with other technical indicators for enhanced timing