Smart stock Uptrend Forecaster by Prawindesigned by Prawin for trying to forecast the trend of stocks.
Forecasting
ATR Tick Targets (Daily + Intraday)ATR Tick Targets (Daily + Intraday)
This indicator calculates ATR-based tick targets and stops using both intraday ATR and daily ATR, then converts the result directly into tick distances relative to the current price.
It’s designed for traders who think in ticks rather than raw price units, especially futures traders (e.g., MGC, ES, NQ, CL, etc.).
🔍 What it does
✔️ Calculates:
Intraday ATR
Daily ATR
A combined ATR value (user-selectable)
✔️ Converts ATR → ticks using the symbol’s minimum tick size
✔️ Plots:
ATR-based long TP / SL
ATR-based short TP / SL
✔️ Displays:
tick distances for TP and SL
ATR values used in calculation
optional label shifted to the right of price
⚙️ ATR combination methods
You can choose how ATR is derived:
Intraday only
Daily only
Average (default)
Max (more conservative stops / larger targets)
This allows you to match your volatility model to your trading style.
🎯 Typical use cases
This tool is useful if you:
set fixed tick SL/TP from ATR
scale target size with volatility
trade futures or tick-based markets
want a volatility-aware RR framework
want targets that expand in trends and contract in chop
It does not generate trade signals. It simply provides objective ATR-based distances that you can plug into your own strategy.
👁️ Visual control
Options include:
show/hide lines
show only current + previous bar
show full historical levels
toggle long/short model independently
offset info label to avoid covering candles
⚠️ Notes
Works on any timeframe
Tick values depend on the symbol’s minimum tick size
Intended for analysis, not guaranteed execution distances
CME Quarterly ShiftsCME Quarterly Shifts - Institutional Quarter Levels
Overview:
The CME Quarterly Shifts indicator tracks price action based on actual CME futures contract rollover dates, not calendar quarters. This indicator plots the Open, High, Low, and Close (OHLC) for each quarter, with quarters defined by the third Friday of March, June, September, and December - the exact dates when CME quarterly futures contracts expire and roll over.
Why CME Contract Dates Matter:
Institutional traders, hedge funds, and large market participants typically structure their positions around futures contract expiration cycles. By tracking quarters based on CME rollover dates rather than calendar months, this indicator aligns with how major institutional players view quarterly timeframes and position their capital.
Key Features:
✓ Automatic CME contract rollover date calculation (3rd Friday of Mar/Jun/Sep/Dec)
✓ Displays Quarter Open, High, Low, and Close levels
✓ Vertical break lines marking the start of each new quarter
✓ Quarter labels (Q1, Q2, Q3, Q4) for easy identification
✓ Adjustable history - show up to 20 previous quarters
✓ Fully customizable colors and line widths
✓ Works on any instrument and timeframe
✓ Toggle individual OHLC levels on/off
How to Use:
Quarter Open: The opening price when the new quarter begins (at CME rollover)
Quarter High: The highest price reached during the current quarter
Quarter Low: The lowest price reached during the current quarter
Quarter Close: The closing price from the previous quarter
These levels often act as key support/resistance zones as institutions reference them for quarterly performance, rebalancing, and position management.
Settings:
Display Options: Toggle quarterly break lines, OHLC levels, and labels
Max Quarters: Control how many historical quarters to display (1-20)
Colors: Customize colors for each level and break lines
Styles: Adjust line widths for OHLC levels and quarterly breaks
Best Practices:
Combine with other Smart Money Concepts (liquidity, order blocks, FVGs)
Watch for price reactions at quarterly Open levels
Monitor quarterly highs/lows as potential targets or stop levels
Use on higher timeframes (4H, Daily, Weekly) for clearer institutional perspective
Pairs well with monthly and yearly levels for multi-timeframe confluence
Perfect For:
ICT (Inner Circle Trader) methodology followers
Smart Money Concepts traders
Swing and position traders
Institutional-focused technical analysis
Traders tracking quarterly performance levels
Works on all markets: Forex, Indices, Commodities, Crypto, Stocks
Tomorrow Bullish Detector (StephC6)Tomorrow Bullish Detector
This indicator is a specialized technical analysis suite designed to pinpoint high-probability bullish entries using a 6-factor confluence model. It features a dynamic dashboard and visual chart overlays to keep your analysis clean and focused.
### Key Features
- Real-Time Scorecard Monitor: The on-screen dashboard serves as a live monitor for the most current candle only. It provides an immediate snapshot of technical health.
- Fixed Metric Logic: The six core metrics within the scorecard are not changeable, ensuring strategy integrity:
Trend Alignment: Fast and Slow EMA relationship.
Baseline Position: Price relative to the 200 SMA.
Momentum (RSI): Strength relative to the 50 midline.
Breakout Status: Detection of recent high breaches.
Volatility (ATR): Filtering active vs. quiet market states.
Relative Volume (RVOL): Tracking institutional volume presence.
- Simplified 2-Tier Grading:
Grade A (83%): High-conviction signal with fully customizable label, text, and background colors.
Grade B (67%): Secondary setups using subtle, neutral tones to reduce chart clutter.
- Full Customization:
Custom Text Colors: Independently set the text color for both A and B labels for maximum readability on any chart theme.
EMA/SMA Toggles: Toggle Fast EMA, Slow EMA, and 200 SMA visibility.
Moveable Dashboard: Reposition the panel to any corner of the screen and adjust text scaling.
### Integrated Alerts
Grade A Setups: Notifies you only when the most high-conviction criteria are met.
Grade B Setups: Optional alerts for secondary opportunities.
### How to Use
To get the most out of this tool, follow these three steps for analysis:
Monitor the Live Scorecard: Look at the dashboard in your chosen corner. It monitors the most current candle in real-time. A "STRONG" signal status only appears when the 6-factor confluence meets your Grade A or B thresholds. If the metrics show "Wait" or "Weak," the setup is not yet mature.
Identify the Entry Grade:
- Grade A (83%): This is your high-conviction setup. When you see the Lime green label (default) and background highlight, it means 5 out of 6 technical factors are aligned.
- Grade B (67%): This is a secondary trend-continuation setup. Use this to identify potential entries when the primary trend is already established but momentum is still healthy.
Clean Your Workspace: If your chart feels cluttered, use the Trend Settings to toggle off the EMA lines. The scorecard will continue to calculate the trend logic in the background even if the lines are hidden, allowing you to maintain a clean "price-action only" view while still receiving signals.
### Disclaimer
For Educational Purposes Only. This indicator is a technical tool designed to assist in market analysis and does not constitute financial advice. Trading involves significant risk.
Tomorrow Bullish Detector [Customizable]This indicator is a comprehensive technical analysis suite designed to identify high-probability bullish setups using a multi-factor scorecard approach. It provides real-time feedback directly on your chart through a dynamic dashboard and visual heatmaps.
Key Features
6-Element Bullish Scorecard: Automatically tracks six critical technical metrics:
Trend Alignment: Evaluates EMA fast/slow cross.
Baseline Position: Checks if price is above the 200 SMA.
Momentum (RSI): Confirms strength is above the 50-level midline.
Breakout Detection: Monitors price action against recent highs.
Volatility Expansion: Analyzes ATR for active market moves.
Relative Volume (RVOL): Identifies institutional interest via volume surges.
Fully Customizable Visuals:
Moveable Dashboard: Position the scorecard panel in any corner of the screen (Top Right, Bottom Left, etc.).
Adjustable Text Size: Choose between Small, Normal, or Large text to fit your screen resolution.
Visual Heatmap: The chart background shifts color based on the live probability score.
Transparency Controls: Independently adjust the opacity of the gradient and on-chart labels.
How to Use
Overlay on Main Chart: This indicator is designed as an overlay to keep your price action front and center.
Monitor the Grade: Look for high-grade labels (A/A+) which indicate that the highest technical criteria are being met.
Refine with Inputs: Use the settings menu to adjust EMA lengths, RSI periods, and volume multipliers to match your specific trading style.
### Disclaimer
For Educational Purposes Only. This indicator is a technical tool designed to assist in market analysis and does not constitute financial advice, investment recommendations, or an offer to buy or sell any security. Trading involves significant risk, and past performance is not indicative of future results. Always perform your own due diligence and consult with a licensed financial advisor before making any investment decisions. The author is not responsible for any financial losses incurred through the use of this script.
Futures Psychological Levels PROFutures Psychological Levels PRO – Professional Usage Guide
Indicator Overview
This elite psychological levels tool dynamically plots the most institutionally relevant round-number clusters across futures markets (ES, NQ, YM, CL, GC, SI, BTC, and custom instruments). It separates levels into three hierarchical tiers — Major, Tradable, and Sniper — while intelligently filtering distant levels using an ATR-based proximity engine. The result is a clean, adaptive overlay that scales perfectly from scalping precision on 1-minute charts to big-picture context on daily/weekly timeframes.
Core Philosophy
Psychological levels are where order flow clusters: stops, limits, and institutional positioning accumulate around round numbers. This indicator turns static round numbers into a dynamic decision framework by:
Prioritizing confluence zones
Reducing clutter in ranging or low-volatility environments
Highlighting only price-relevant levels in real time
Key Features
Instrument Presets – One-click optimized spacing for major futures contracts
Three-Tier Hierarchy – Major (institutional anchors), Tradable (active defense zones), Sniper (precise entry/exit triggers)
ATR Proximity Filter – Automatically hides irrelevant distant levels
Zones or Lines – Visual magnet areas or clean horizontal lines
Price Labels & Summary Table – Instant reference for next major levels above/below
Full Customization – Colors, thickness, styles, and manual overrides
How to Best Use This Indicator (Professional Workflow)
Select the Correct Instrument Preset
Start with the built-in preset matching your chart (e.g., "ES (S&P 500)" for /ES or MES). This instantly applies battle-tested increments. Use "Custom" only for non-standard assets (forex pairs, micros with different tick values, or crypto alts).
Match Settings to Your Trading Style & Timeframe
Reading the Levels – Decision Framework
Major Levels (thick red by default): Highest probability reaction zones. Expect strong reversals, breakouts with volume, or liquidity sweeps. Treat as primary support/resistance.
Tradable Levels (orange): Active trader defense zones. Excellent for limit order placement, partial profit taking, or fading weak moves.
Sniper Levels (thin gray): Precision entries/exits, stop runs, and scalping targets. Confluence with order blocks or volume profile nodes dramatically increases edge.
Trade Setup Examples
Rejection Play: Price approaches a Major level from below → long wick rejection + close back inside → enter in direction of rejection with stop beyond wick extremity.
Break & Retest: Clean breakout through Tradable/Major → retest as new support/resistance → enter on confirmation candle.
Liquidity Sweep: Price briefly breaches Sniper/Major (stop hunt) → rapid reclaim → aggressive counter-trend entry.
Confluence Boost: When a level aligns with daily/weekly open, VWAP, or prior high/low volume node → dramatically increase position size or conviction.
Risk Management Integration
Always place stops just beyond the next logical level (typically a Sniper or Tradable beyond your entry zone). Use the summary table to quickly identify invalidation points. Target the next level in the direction of your bias for minimum 1:2 risk-reward (often 1:3–1:5 achievable at Major levels).
Pro Optimization Tips
High-volatility sessions (NY open, FOMC, NFP): Increase ATR Multiplier slightly to avoid excessive clutter.
Low-volatility Asian/range sessions: Decrease ATR Multiplier for tighter precision.
Combine with Volume Profile (Fixed Range or Session) to confirm high-volume nodes at psych levels.
Pair with anchored/session VWAP for additional confluence layers.
On higher timeframes, disable Sniper levels and zones entirely for minimalist structural analysis.
Important Disclaimer
This indicator is a professional decision-support tool, not a standalone trading system. All trading involves substantial risk of loss. Past performance is not indicative of future results. Always conduct your own analysis, manage risk appropriately, and consider your financial situation before placing trades.
Mastering psychological levels is one of the highest-edge concepts in institutional trading. Used correctly, this indicator gives you the same reference framework that prop desks and market makers watch every day. Trade smart, stay disciplined, and let price action at these levels guide your executions.
Arzouni signals EngineArzouni signals Engine generates BUY/SELL signals and automatically prints ENTRY, TP1/TP2/TP3 and SL levels. Alerts are sent via alert() with ready-to-use multi-line Telegram messages. To receive alerts: create an alert and choose “Any alert() function call”.
BTC - StableFlow: Pit-Stop & Refuel EngineBTC – StableFlow: Pit-Stop & Refuel Engine | RM
Strategic Context: The Institutional Gas Station In the high-speed race of the crypto markets, Stablecoins (USDT, USDC, DAI) represent the Fuel, and Bitcoin is the Race Car. Most traders only look at the car's speed (Price), but they ignore the gas tank. The StableFlow Engine is a telemetry dashboard designed to monitor the "Fuel Pressure" within the ecosystem, identifying exactly when the car is being refueled and when it is running on empty.
The Telemetry Logic: How to Read the Race
The indicator operates on a Relative Velocity model. We aren't just looking at how many Stablecoins exist; we are measuring the Acceleration of Stablecoin Market Cap relative to the Acceleration of BTC Price.
1. The Fuel Reservoir (The Histogram)
• Cyan Zones (Refuel): The gas station is open. Institutional "Dry Powder" is flowing into stables faster than it is being spent on BTC. The tank is filling up.
• Orange Zones (Exhaust): The "Overdrive." The car is driving faster than the gas can be pumped. Price is outperforming the stablecoin supply—this is unsustainable and usually precedes a stall.
2. Lap Transitions (The Grey Lines)
These vertical markers signify a Regime Shift . They trigger the moment the momentum crosses the zero-axis, visually distinguishing the transition between a "Net-Refueling" period and a "Net-Exhaustion" period. While not used as direct entry signals, they define the Macro Lap we are currently in.
Operational Playbook: The Pit-Stop Signals
We don't just buy because the tank is full; we buy when the car exits the pits and begins to accelerate. This is captured by our proprietary Pit-Stop Pips.
• Blue Pip (Pit-Stop Buy): Triggered when the Refuel momentum has peaked and is now rotating back into the market. The refuel is complete; the car is rejoining the race with a full tank.
• Red Pip (Exhaust Sell): Triggered when the price acceleration has overextended relative to its fuel source and begins to "roll over." The tank is near empty; time for a tactical pull-back.
Settings & Calibration: The Pit Wall Dashboard
Signal Mode & Logic The engine features a dual-mode signaling system to adapt to different market conditions (or your personal preferred logic):
• Consecutive Mode: Best for high-velocity trends. Fires a pip after n bars of momentum reversal (Default: 2 bars).
• Percentage (%) Mode: Best for structural fades. Fires a pip when the momentum retraces by a specific percentage (e.g., 15%) from its local peak, regardless of the bar count.
Recommended Calibration
While the engine is versatile across various timeframes, the Weekly (1W) chart is the preferred setting for identifying high-conviction macro signals. Lower timeframes provide tactical speed, but the 1W frame offers significantly cleaner signals by filtering out the daily market noise.
Weekly (1W) — The Macro Signal (Preferred): * Velocity Lookback: 20 | Smoothing: 5.
Peak Lookback: 25 (Represents roughly half a year of telemetry data). This is a good starting point for identifying major cycle rotations.
Daily (1D) — The Tactical Pulse: * Velocity Lookback: 20 | Smoothing: 5.
Peak Lookback: 25 (Represents one trading month of telemetry). Useful for active swing traders looking for entry/exit timing within an established macro trend.
Technical Documentation
Data Sourcing & Aggregation The script utilizes request.security to aggregate a "Big Three" Stablecoin Market Cap (USDT + USDC + DAI). This prevents "False Exhaustion" signals caused by capital simply migrating between different stablecoin assets.
Mathematical Foundation The core engine calculates the Rate of Change (ROC) for the Aggregate Stablecoin Supply and BTC Price over a synchronized lookback window.
Formula Logic: Fuel Pressure = EMA ( ROC(Stables) - ROC(BTC) )
The Pit-Stop Pips utilize a local peak-finding algorithm via ta.highest and ta.lowest within a rolling 25-bar window to calculate the Relative Retracement Magnitude . This ensures signals are mathematically tied to the volatility of the current market regime.
The Dual-Fuel Framework: StableFlow x Liquisync
The StableFlow Engine is designed to function as the tactical counterpart to the Liquisync: Macro Pulse Engine . While Liquisync monitors the Global Supply Line (the "Tanker Truck" of M2 Liquidity moving from Central Banks toward the track with a 60-day lead), StableFlow measures the Immediate Fuel Pressure (the "Dry Powder" already in the pit lane, ready to be pumped into the car).
By using both indicators in tandem, you can follow the Dual-Fuel Strategy: Liquisync identifies the fundamental macro regime, while StableFlow identifies the specific "Refuel" and "Exhaustion" pivots within that regime. We will be providing a comprehensive breakdown of this synchronized telemetry in our upcoming Substack Masterclass: The Dual-Fuel Architecture.
Risk Disclaimer & Credits
The StableFlow is a thematic macro tool tracking on-chain liquidity proxies. Stablecoin data is subject to exchange reporting delays. This is not financial advice; it is a telemetry model for institutional education. Rob Maths is not liable for losses incurred via use of this model.
Tags:
indicator, bitcoin, btc, stablecoins, usdt, flow, liquidity, macro, refuel, institutional, robmaths, Rob Maths
Hookes Kinetics | IkkeOmarHooke's Kinetics: A Physics-Based Volatility System
This indicator applies the principles of Hooke's Law to financial time series data to model market volatility as a system of potential and kinetic energy.
Theoretical Foundation: Hooke's Law In physics, Hooke's Law states that the force (F) needed to extend or compress a spring by some distance (x) scales linearly with respect to that distance: F = -kx, where k is the spring constant.
Potential Energy (PE): PE = 0.5 * k * x^2 Kinetic Energy (KE): Energy possessed due to motion.
In this system, we treat Price Action as a spring. Compression (Potential Energy): When price consolidates, volatility compresses. The "spring" is being wound up. Energy is accumulated, not released. Release (Kinetic Energy): When price breaks out of compression, potential energy transforms into kinetic energy. The spring snaps back, driving price motion.
Indicator Mechanics The Hooke's Kinetics oscillator visualizes this energy transfer cycle to identify trend origins and exhaustion points.
Accumulating Energy (Potential): The Blue Area represents the buildup of Potential Energy. This occurs during periods of low volatility (consolidation). The algorithm detects when price variance drops below a threshold (representing spring compression) and aggregates this "stored force" over time. As long as the price remains compressed, the Blue potential energy grows.
Energy Conversion (Kinetic Release): The Red Histogram represents Kinetic Energy. When volatility expands significantly (a breakout), the system triggers a release event. The accumulated Blue potential energy is discharged and converted into the Red kinetic spike. This marks the moment the "spring" is released.
Trend Direction & Decay: Once the Kinetic Energy (Red spike) appears, the "explosive" phase is active. As the Red histogram decays (lowers back to zero), the market enters a coasting phase. The trend direction is established by the price movement during the initial Kinetic release. Traders observe the price vector as the Red energy dissipates to confirm the prevailing trend.
Reversion Signals (Bonus): Extreme peaks in Kinetic Energy (exceptionally high Red spikes) indicate a maximum extension of the spring. Just as a physical spring oscillates, extreme kinetic release often precedes a mean reversion. If price action opposes the direction of the Kinetic decay, it signals a likely reversal.
Visual Reference Referencing the chart above: Blue Ramp: Note the linear buildup of the blue area during sideways price action. This is the "loading" phase. Red Spike: Note the immediate drop in Blue and spike in Red coinciding with the green highlight circles on the chart. These are the breakout points. Green Circles: These highlight the specific candles where Potential converted to Kinetic, marking the optimal entry or decision points.
Code Description
The system defines market state using a composite variable "k" (Stiffness), which combines Price Volatility (NATR) and Relative Volume (RVOL).
k_price = range_natr != 0 ? 1.0 - ((natr - lowest_natr) / range_natr) : 0 k = (k_price * price_weight) + (k_vol * vol_weight) Here, we normalize volatility relative to a historical lookback. High values of "k" indicate high compression—this is the "winding" of the spring.
if is_compressed potential_energy := potential_energy + k kinetic_energy := kinetic_energy * DECAY_RATE When the market is tighter than the user-defined "stiff_thresh", the system accumulates Potential Energy. Note that Kinetic Energy actively decays during this phase, simulating friction or inertia slowing down price movement.
else drain_factor = (1.0 - k) transfer = potential_energy * drain_factor potential_energy := potential_energy - transfer kinetic_energy := (kinetic_energy * DECAY_RATE) + (transfer * ENERGY_MULT) This acts as the conservation of energy. We do not reset Potential to zero instantly; we drain it. The "drain_factor" ensures that a violent expansion (low k) drains potential energy faster than a mild move. This transferred energy is scaled up and added to the Kinetic state.
Note - AMPLITUDE MATTERS!
Observe the amplitude of the Kinetic Energy - higher peaks are more significant. Lower values are usually artifacts, but they can indicate mean reversion on a smaller scale while price remains within a range.
Smart Money Zones (FVG + OB) + MTF Trend Panel## Overview
Professional-grade institutional trading zones indicator that identifies **Fair Value Gaps (FVG)** and **Order Blocks (OB)** - key price inefficiencies where smart money operates. Includes a comprehensive **Multi-Timeframe Trend Panel** for complete market context at a glance.
## Core Features
### 🎯 Fair Value Gaps (FVG)
Fair Value Gaps occur when price moves so aggressively that it leaves an "imbalance" or "gap" in the market structure. These zones often act as magnets where price returns to find liquidity.
**Detection Logic:**
- **Bullish FVG**: When current candle's low is above the high of the candle 2 bars ago
- **Bearish FVG**: When current candle's high is below the low of the candle 2 bars ago
- Requires strong impulse candle (configurable body percentage threshold)
- Color-coded zones: Green for bullish, Red for bearish
### 📦 Order Blocks (OB)
Order Blocks represent the last opposite candle before a significant price move - the zone where institutional orders were placed before the breakout.
**Detection Logic:**
- Identifies the last bearish candle before a strong bullish breakout (Bullish OB)
- Identifies the last bullish candle before a strong bearish breakout (Bearish OB)
- Validates breakout strength using ATR multiplier (1.2x default)
- Color-coded zones: Blue for bullish, Orange for bearish
### 📊 Multi-Timeframe Trend Panel
Real-time trend analysis across **7 timeframes** displayed in an elegant dashboard:
- **1 Minute** - Ultra short-term scalping
- **5 Minutes** - Short-term momentum
- **15 Minutes** - Intraday swings
- **30 Minutes** - Session trends
- **1 Hour** - Multi-session trends
- **4 Hours** - Daily structure
- **Daily** - Long-term direction
**Visual Indicators:**
- 🟢 Green circle = Bullish trend
- 🔴 Red circle = Bearish trend
- Clean, professional table design with customizable position and size
## Intelligence Features
### 🧠 Zone Strength Rating
Every zone is automatically classified by strength based on size relative to ATR:
- **VERY STRONG** - 2.0x ATR or more (major institutional zones)
- **STRONG** - 1.5x to 2.0x ATR (significant zones)
- **MEDIUM** - 1.0x to 1.5x ATR (moderate zones)
- **WEAK** - Below 1.0x ATR (minor zones)
Strength rating helps you prioritize which zones to trade from!
### 📉 Smart Mitigation Tracking
Zones automatically track how much they've been "filled" or mitigated:
- Calculates penetration percentage as price enters the zone
- Zones turn **gray** when 50%+ mitigated or fully filled
- Option to **auto-delete** mitigated zones to keep chart clean
- Live zones extend dynamically with price action
### 🎨 Trend Filter (Optional)
When enabled, only shows zones aligned with the current trend:
- Uses customizable MA period (default 50)
- Bullish zones only appear in uptrend
- Bearish zones only appear in downtrend
- Reduces noise and false signals significantly
## Customization Options
### Display Settings
- Toggle FVGs and OBs independently
- Adjust max zones per type (5-200)
- Choose to remove or gray out mitigated zones
- Color customization for all zone types
### Detection Parameters
- **Min Impulse Body %**: Controls how strong the impulse candle must be (0.3-1.0)
- **Order Block Lookback**: How many bars to look back for OB validation (5-50)
- **ATR Length**: Period for ATR calculation (5-50)
### Trend Filter
- Enable/disable trend filtering
- Adjustable MA period for trend determination
### MTF Panel
- Show/hide the trend panel
- 4 position options: Top Right, Top Left, Bottom Right, Bottom Left
- 3 size options: Small, Normal, Large
- Customizable MA period for trend calculation across all timeframes
## Trading Applications
### 1. **Liquidity Grab Entries**
Wait for price to sweep a zone (50%+ mitigation) then enter on reversal. Smart money often "hunts" these zones before the real move begins.
### 2. **Confluence Trading**
Look for zones that align with:
- Multiple timeframe trends showing same direction
- Multiple FVGs/OBs stacking in same area
- Key support/resistance levels
### 3. **Breakout Confirmation**
Use Order Blocks to confirm the strength of breakouts. Strong OBs indicate institutional participation.
### 4. **Retracement Entries**
Enter when price returns to a fresh, unmitigated zone in the direction of the higher timeframe trend.
### 5. **Range Trading**
Identify FVG zones at range extremes - price often reverses at these inefficiencies.
## How It Works
**Fair Value Gaps** form when the middle candle creates such aggressive movement that it leaves a price gap between the high/low of surrounding candles. Institutional traders know these gaps get filled.
**Order Blocks** mark the origin of major moves. The last opposite-colored candle before a breakout is where large orders were placed. Price often returns to these zones for "retests" before continuing.
**Mitigation** happens when price returns to fill these zones. The indicator tracks this automatically, showing you which zones are still "fresh" and which have been used up.
## Best Practices
✅ **Use higher timeframe trends** - Always check the MTF panel before taking trades
✅ **Trade fresh zones** - Unmitigated zones (not gray) have the highest probability
✅ **Combine with price action** - Look for rejection wicks and engulfing candles at zones
✅ **Respect zone strength** - VERY STRONG and STRONG zones are most reliable
✅ **Use trend filter** - Especially on lower timeframes to reduce false signals
❌ **Don't overtrade** - Not every zone will react, wait for confirmation
❌ **Don't ignore context** - Check the MTF panel for conflicting trends
❌ **Don't chase** - Wait for price to come to the zone, don't enter mid-zone
## Technical Details
- **Non-repainting**: All zones are drawn on confirmed candles only
- **Performance optimized**: Uses efficient array management with per-type caps
- **Real-time updates**: Zones extend and track mitigation as price moves
- **Universal compatibility**: Works on all markets and timeframes
## Recommended Settings by Style
**Scalping (1m-5m charts):**
- Max zones: 10-15
- Use trend filter: ON
- MTF Panel: Focus on 1m-15m trends
- Remove mitigated: ON (keep chart clean)
**Day Trading (5m-1H charts):**
- Max zones: 15-20
- Use trend filter: ON
- MTF Panel: Focus on 15m-4H trends
- Remove mitigated: OFF (track zone history)
**Swing Trading (1H-D charts):**
- Max zones: 20+
- Use trend filter: Optional
- MTF Panel: Focus on 1H-1D trends
- Remove mitigated: OFF (important zones persist)
---
## Perfect For
- Smart Money Concept (SMC) traders
- ICT methodology followers
- Institutional order flow traders
- Price action traders seeking key zones
- Multi-timeframe analysis enthusiasts
**Compatible with all markets:** Forex, Crypto, Stocks, Indices, Commodities, Futures
*Trade where the institutions trade. Follow the smart money.*
Smart Money Zones (FVG + OB) + MTF Trend Panel## Overview
Professional-grade institutional trading zones indicator that identifies **Fair Value Gaps (FVG)** and **Order Blocks (OB)** - key price inefficiencies where smart money operates. Includes a comprehensive **Multi-Timeframe Trend Panel** for complete market context at a glance.
## Core Features
### 🎯 Fair Value Gaps (FVG)
Fair Value Gaps occur when price moves so aggressively that it leaves an "imbalance" or "gap" in the market structure. These zones often act as magnets where price returns to find liquidity.
**Detection Logic:**
- **Bullish FVG**: When current candle's low is above the high of the candle 2 bars ago
- **Bearish FVG**: When current candle's high is below the low of the candle 2 bars ago
- Requires strong impulse candle (configurable body percentage threshold)
- Color-coded zones: Green for bullish, Red for bearish
### 📦 Order Blocks (OB)
Order Blocks represent the last opposite candle before a significant price move - the zone where institutional orders were placed before the breakout.
**Detection Logic:**
- Identifies the last bearish candle before a strong bullish breakout (Bullish OB)
- Identifies the last bullish candle before a strong bearish breakout (Bearish OB)
- Validates breakout strength using ATR multiplier (1.2x default)
- Color-coded zones: Blue for bullish, Orange for bearish
### 📊 Multi-Timeframe Trend Panel
Real-time trend analysis across **7 timeframes** displayed in an elegant dashboard:
- **1 Minute** - Ultra short-term scalping
- **5 Minutes** - Short-term momentum
- **15 Minutes** - Intraday swings
- **30 Minutes** - Session trends
- **1 Hour** - Multi-session trends
- **4 Hours** - Daily structure
- **Daily** - Long-term direction
**Visual Indicators:**
- 🟢 Green circle = Bullish trend
- 🔴 Red circle = Bearish trend
- Clean, professional table design with customizable position and size
## Intelligence Features
### 🧠 Zone Strength Rating
Every zone is automatically classified by strength based on size relative to ATR:
- **VERY STRONG** - 2.0x ATR or more (major institutional zones)
- **STRONG** - 1.5x to 2.0x ATR (significant zones)
- **MEDIUM** - 1.0x to 1.5x ATR (moderate zones)
- **WEAK** - Below 1.0x ATR (minor zones)
Strength rating helps you prioritize which zones to trade from!
### 📉 Smart Mitigation Tracking
Zones automatically track how much they've been "filled" or mitigated:
- Calculates penetration percentage as price enters the zone
- Zones turn **gray** when 50%+ mitigated or fully filled
- Option to **auto-delete** mitigated zones to keep chart clean
- Live zones extend dynamically with price action
### 🎨 Trend Filter (Optional)
When enabled, only shows zones aligned with the current trend:
- Uses customizable MA period (default 50)
- Bullish zones only appear in uptrend
- Bearish zones only appear in downtrend
- Reduces noise and false signals significantly
## Customization Options
### Display Settings
- Toggle FVGs and OBs independently
- Adjust max zones per type (5-200)
- Choose to remove or gray out mitigated zones
- Color customization for all zone types
### Detection Parameters
- **Min Impulse Body %**: Controls how strong the impulse candle must be (0.3-1.0)
- **Order Block Lookback**: How many bars to look back for OB validation (5-50)
- **ATR Length**: Period for ATR calculation (5-50)
### Trend Filter
- Enable/disable trend filtering
- Adjustable MA period for trend determination
### MTF Panel
- Show/hide the trend panel
- 4 position options: Top Right, Top Left, Bottom Right, Bottom Left
- 3 size options: Small, Normal, Large
- Customizable MA period for trend calculation across all timeframes
## Trading Applications
### 1. **Liquidity Grab Entries**
Wait for price to sweep a zone (50%+ mitigation) then enter on reversal. Smart money often "hunts" these zones before the real move begins.
### 2. **Confluence Trading**
Look for zones that align with:
- Multiple timeframe trends showing same direction
- Multiple FVGs/OBs stacking in same area
- Key support/resistance levels
### 3. **Breakout Confirmation**
Use Order Blocks to confirm the strength of breakouts. Strong OBs indicate institutional participation.
### 4. **Retracement Entries**
Enter when price returns to a fresh, unmitigated zone in the direction of the higher timeframe trend.
### 5. **Range Trading**
Identify FVG zones at range extremes - price often reverses at these inefficiencies.
## How It Works
**Fair Value Gaps** form when the middle candle creates such aggressive movement that it leaves a price gap between the high/low of surrounding candles. Institutional traders know these gaps get filled.
**Order Blocks** mark the origin of major moves. The last opposite-colored candle before a breakout is where large orders were placed. Price often returns to these zones for "retests" before continuing.
**Mitigation** happens when price returns to fill these zones. The indicator tracks this automatically, showing you which zones are still "fresh" and which have been used up.
## Best Practices
✅ **Use higher timeframe trends** - Always check the MTF panel before taking trades
✅ **Trade fresh zones** - Unmitigated zones (not gray) have the highest probability
✅ **Combine with price action** - Look for rejection wicks and engulfing candles at zones
✅ **Respect zone strength** - VERY STRONG and STRONG zones are most reliable
✅ **Use trend filter** - Especially on lower timeframes to reduce false signals
❌ **Don't overtrade** - Not every zone will react, wait for confirmation
❌ **Don't ignore context** - Check the MTF panel for conflicting trends
❌ **Don't chase** - Wait for price to come to the zone, don't enter mid-zone
## Technical Details
- **Non-repainting**: All zones are drawn on confirmed candles only
- **Performance optimized**: Uses efficient array management with per-type caps
- **Real-time updates**: Zones extend and track mitigation as price moves
- **Universal compatibility**: Works on all markets and timeframes
## Recommended Settings by Style
**Scalping (1m-5m charts):**
- Max zones: 10-15
- Use trend filter: ON
- MTF Panel: Focus on 1m-15m trends
- Remove mitigated: ON (keep chart clean)
**Day Trading (5m-1H charts):**
- Max zones: 15-20
- Use trend filter: ON
- MTF Panel: Focus on 15m-4H trends
- Remove mitigated: OFF (track zone history)
**Swing Trading (1H-D charts):**
- Max zones: 20+
- Use trend filter: Optional
- MTF Panel: Focus on 1H-1D trends
- Remove mitigated: OFF (important zones persist)
---
## Perfect For
- Smart Money Concept (SMC) traders
- ICT methodology followers
- Institutional order flow traders
- Price action traders seeking key zones
- Multi-timeframe analysis enthusiasts
**Compatible with all markets:** Forex, Crypto, Stocks, Indices, Commodities, Futures
*Trade where the institutions trade. Follow the smart money.*
Batik UltimateBatik Ultimate
Subscription: USD250 / month
Access: Private / Invite Only
What This Indicator Does
Batik Zone is a professional market zoning & performance-tracking tool designed for traders who want clarity, discipline, and accountability — not noise.
It automatically highlights key price reaction zones and tracks how price behaves around those zones across any timeframe or market.
Key Features
1. Automatic Zone Marking
✓ Zones are plotted directly on the chart and move with price
✓ Clean, distraction-free visuals
✓ Designed to align with institutional price behavior
✓ No repainting
2. Risk & Reward Visualization (Optional)
✓ Profit-side zone (blue)
✓ Risk-side zone (red)
✓ Visual guidance only — no forced entries
✓ Fully adjustable distance rules
✗ No buy/sell buttons
✗ No signal arrows
✗ No execution logic
3. History Control
✓ Display only the most recent zones
✓ Prevents chart clutter
✓ Ideal for multi-timeframe analysis
4. Date-Range Performance Statistics
✓ Built-in stats panel (top right)
✓ Tracks zone performance based on selected date range
Available ranges:
Previous Week
Previous Month
Custom Date (YYYYMMDD → YYYYMMDD)
Stats include:
✓ Total zones formed
✓ Wins vs losses
✓ Win rate (%)
✓ Rules used for evaluation
All statistics follow Malaysia trading day timing (MYT 7AM) for accurate session alignment.
5. Fully Adjustable Settings
✓ Zone extension length
✓ Zone visibility & opacity
✓ Win / loss distance thresholds
✓ Date-range selection
✓ Visual components on/off
Who This Is For
✓ Traders who rely on price reaction zones
✓ Traders who want data-backed confidence
✓ Scalpers, intraday, and swing traders
✓ Traders who want clean charts without indicator noise
What This Is NOT
✗ Not a signal service
✗ Not a guaranteed profit tool
✗ Not an automated trading system
This is a decision-support & performance-tracking indicator.
Subscription
💼 USD250 / month
🔒 Private / Invite-Only Access
📲 WhatsApp: +6017-999-9109
LiquiHunterShort Description:
All-in-one SMC indicator: Liquidity Sweeps, CISD, Fair Value Gaps, Trading Sessions, Multi-Timeframe Bias, HTF Candles &
Liquidity Levels.
Full Description:
LiquiHunter is a comprehensive Smart Money Concepts (SMC) indicator that combines multiple institutional trading tools
into one powerful package.
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🔍 CORE FEATURES
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📊 LIQUIDITY SWEEP DETECTION
• Automatically detects when price sweeps above/below swing highs/lows
• Identifies stop-loss hunting by smart money
• Visual lines connect the swept level to the sweep candle
• Tracks up to 20 unswept levels simultaneously
• Configurable lookback and swing length settings
📈 CHANGE IN STATE OF DELIVERY (CISD)
• Detects market structure shifts signaling trend changes
• Bullish CISD: Price closes above previous swing high after forming a swing low
• Bearish CISD: Price closes below previous swing low after forming a swing high
• Clear visual labels mark CISD events on the chart
📐 FIBONACCI PROJECTIONS
• Automatic Fib extensions when CISD occurs
• Projects -2, -2.5, -4, and -4.5 levels
• Helps identify potential take-profit targets
• Can be toggled independently (linked to CISD)
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📅 DAILY FAIR VALUE GAPS (FVG)
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• Detects imbalances from the Daily timeframe
• Shows up to 10 FVGs with dashed midline
• Distinguishes between filled and unfilled gaps
• Customizable colors for bullish/bearish/filled FVGs
• Extends across the chart for easy reference
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⏰ TRADING SESSIONS
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• Asian Session (20:00-00:00)
• London Open (02:00-05:00)
• New York Open (07:00-10:00)
• London Close (10:00-12:00)
• NY Close (15:00-16:00)
• Each session has customizable background colors
• Session labels appear centered in each period
• All session times are customizable
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📊 MULTI-TIMEFRAME BIAS TABLE
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• Shows market structure bias across 6 timeframes
• 5m, 15m, 1H, 4H, Daily, Weekly
• Visual arrows: ▲ Bullish | ▼ Bearish | — Neutral
• Based on Higher High / Lower Low detection
• Displays sweep count for current session
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🕯️ HIGHER TIMEFRAME CANDLES
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• Displays last 10 HTF candles on chart right side
• Auto-detects appropriate HTF based on current TF:
- 1m → 15m | 5m → 1H | 15m → 4H
- 1H → Daily | 4H → Weekly | Daily+ → Monthly
• Includes current developing HTF candle
• Clear bullish/bearish body colors
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🎯 HTF LIQUIDITY LEVELS
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• Shows unswept swing highs/lows from higher timeframe
• Dashed lines extend across chart as liquidity targets
• "HTF Liquidity Area" labels mark key levels
• Automatically removes swept levels
• Separate colors for buy-side and sell-side liquidity
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🔔 ALERTS
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• Liquidity Sweep High/Low
• Bullish/Bearish CISD
• Any Liquidity Sweep
• Any CISD
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⚙️ CUSTOMIZATION
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• Bias Filter: Show both, bullish only, or bearish only
• Toggle each feature independently
• Customizable colors for all elements
• Adjustable lookback periods
• Historical setups display count (0-40)
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📈 BEST FOR
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• Forex pairs (EUR/USD, GBP/USD, etc.)
• Indices (NAS100, US30, SPX)
• Crypto (BTC, ETH)
• Any liquid market
Works on all timeframes from 1-minute to Monthly.
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🌐 ACCESS & SUPPORT
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For access: liquihunter.com/indicator
TK Advanced ATR CalculatorTK Advanced ATR Calculator
What It Does
This tool measures how much your market actually moves each session and tells you if we're in a trending environment or a slow, choppy grind.
Why You Should Care
Stop Getting Your Position Sizing Wrong
While most traders use a static risk or risk based on how they feel, this calculates exactly how much risk makes sense for the current volatility. When markets are calm, you can lean in more with a smaller stop. When they're crazy, it automatically tells you to size down and expand your stop. No more getting stopped out on random spikes or leaving money on the table.
Know What Kind of Game You're Playing
Green line-Markets are stretching, ranges are expanding - trend strategies work
Red line-Things are compressing, getting choppy - maybe sit out or trade ranges
Set Realistic Targets
The estimate tells you what a "normal" day looks like. If we've already moved 80% of the average range, breakout trades are not probable. If we've barely moved, there's probably room to run.
Trade the Right Sessions
You can see which sessions actually deliver movement vs which ones just chop around wasting your time.
Plan Tomorrow Today
At 4 PM every day, you get tomorrow's expected range. So you can actually plan your trades instead of scrambling when the market opens. Game plan with real numbers, not vibes.
## Who Actually Needs This
- Day traders that are tired of getting whipsawed in chop or missing moves in trends
- Anyone who's ever wondered, "Should I be trading smaller here?"
- Traders who want to know if they're late to the party or early
- People who are done guessing and want some actual data
From the creator of TKFlow, happy trading.
Disclaimer
TK Advanced ATR Calculator is provided for educational and informational purposes only and does not constitute financial, investment, or trading advice. Trading and investing involve substantial risk of loss, and you can lose some or all of your invested capital. This indicator calculates historical volatility metrics and does not predict future market movements or guarantee any trading outcomes. Past performance does not indicate future results. You are solely responsible for your own trading decisions, risk management, and capital allocation. By using this tool, you acknowledge that you understand the risks involved in trading and agree not to hold the creator liable for any losses incurred. Always consult with a licensed financial advisor before making investment decisions, and never trade with money you cannot afford to lose.
Confluence Execution Engine (2of3)The Confluence Execution Engine is a high-performance logic gate designed to filter out market noise and identify high-probability "Golden" entries. It moves beyond simple indicator signals by acting as a mathematical validator for price action. This engine is designed for the Systematic Trader. It removes the "guesswork" of whether a move is real or an exhaustion pump by requiring a mathematical confluence of volume, multi-timeframe momentum, and volatility-adjusted space.
Why This Tool is Unique:
Multi-Dimensional Scoring, Momentum-Adjusted Stretch, Institutional Fingerprint (RVOL + Spike)
Unlike a standard MACD or RSI, this engine uses a weighted scoring matrix. It pulls a "Bundle" of data (WaveTrend, RSI, ROC) from four different timeframes simultaneously. It doesn't give a signal unless the mathematical weight of all four timeframes crosses your "Hurdle" (Base Threshold).
Standard "overbought" indicators are often wrong during strong trends. This engine uses Dynamic Z-Score logic. The Logic: If the price moves away from the mean, it checks the Rate of Change (ROC). The Result: If momentum is massive, the "Stretch" limit expands. It understands that a "stretched" price is actually a sign of strength in a breakout, not a reason to exit. It only warns of a TRAP RISK when the price is far from the mean but momentum is starting to stall.
The engine is gated by Relative Volume. If the market is "sleepy," the engine stays in "PATIENCE" mode. It specifically hunts for Volume Spikes (default 2.5x average). A signal is only upgraded to "HIGH CONVICTION" when an institutional volume spike occurs, confirming that "Big Money" is participating.
How to Operate the Engine
Define Your Hurdle: Set your Confluence Hurdle. A higher number (e.g., 14+) requires more agreement across timeframes, leading to fewer but higher-quality trades.
Monitor the Z/Dynamic Ratio: In the HUD, watch the Z: X.XX / Y.YY. When X approaches Y, you are reaching the edge of the momentum-adjusted move.
The Entry Trigger: Wait for a "LOOK FOR..." advice to turn into a "HIGH CONVICTION" signal (marked by a triangle shape). This confirms that the MTF scoring, Volume, and HTF Trend are all aligned.
Execute the Lines: Use the red and green "Ghost Lines" to set your orders. These are ATR-based, meaning they widen during high volatility to give your trade room to breathe.
For holistic trading system, pair with Volatility Shield Pro and Session Levels
Trend Confirmation Pro + Entry Dots (ATR Slope Filter)Trend Confirmation Pro
Trend Confirmation Pro is a trend-context and entry-timing indicator based on a dual smoothing filter (Fast/Slow) combined with an ATR-normalized slope filter.
It reduces noise, identifies the prevailing market regime, and displays entry dots only when momentum strength is sufficient.
How it works
Fast / Slow Filter:
Bullish context when Fast is above Slow
Bearish context when Fast is below Slow
Entry Dots:
BUY when Fast crosses above Slow, price confirms upward, and slope exceeds an ATR-scaled threshold
SELL when Fast crosses below Slow, price confirms downward, and slope exceeds the ATR-based threshold
This logic filters out weak or low-energy crosses.
Why use it
Identify trend regime and avoid counter-trend noise
Improve entry timing through momentum confirmation
Use as a confirmation layer after pullbacks or exhaustion signals
Key features
Clean channel visualization
ATR-normalized slope filter
Configurable BUY / SELL dots
Works on any market and timeframe
Note:
This script is provided for educational and analytical purposes only.
Trend Exhaustion Pro Trend Exhaustion Pro is a technical indicator based on a sequential, multi-phase exhaustion methodology designed to identify trend fatigue, momentum depletion, and potential price turning points.
The indicator combines three structured phases:
Setup Phase (1–9): tracks progressive loss of momentum within an existing trend.
Countdown Phase (1–13): applies stricter conditions to confirm exhaustion after the setup phase.
Strict Confirmation Events: highlight higher-confidence exhaustion signals when multiple validation criteria align.
All counts are displayed clearly on the chart using stable hybrid numbers and dots, avoiding repetitions, overlaps, and visual distortions when zooming or switching timeframes.
⚙️ WHAT IS IT USED FOR?
Identifying exhaustion zones in bullish and bearish trends
Anticipating pauses, technical rebounds, or potential reversals
Improving entry and exit timing
Complementing price action, support/resistance, and risk management strategies
👥 INTENDED AUDIENCE
This indicator is suitable for all types of traders, including:
Traders who are just starting and want clear, structured visual signals
Swing traders and intraday traders
Traders of stocks, indices, futures, and cryptocurrencies
Users looking for additional confirmation within their technical analysis
No advanced knowledge is required to start using the indicator, while still offering enough depth for more experienced traders.
✨ KEY FEATURES
Strict implementation of sequential setup and exhaustion confirmation logic
Unique exhaustion events without repetition
Hybrid dots and numbers that remain stable during zoom and scroll
Fully customizable colors and sizes
Works on any timeframe and asset
Optimized for performance and visual clarity
Gold Level Lines V1.0ตัวช่วยสร้างเส้นแนวนอนระดับตัวเลข 0 และ 5 สำหรับกราฟทองคำ
A tool to generate horizontal lines at levels 0 and 5 for the gold price chart.
Trader HQ - 6min Swing 51% WR2025 Results
51.7% WR on 6min timeframe
This strategy is designed for trend-following momentum trades and performs best on the 6-minute timeframe, where it balances signal quality with frequency.
It combines:
UT Bot ATR trailing stop logic for structural trend detection
ADX strength + rising momentum filter to avoid chop
Higher-timeframe trend confirmation to trade only in favorable market regimes
Long and short entries, aligned with dominant trend conditions
The result is a disciplined, rule-based system that filters out low-quality setups and focuses only on high-probability trend continuations, making it suitable for active swing and intraday traders.
📩 Access:
This strategy is private. To request access, email:
upswingtrading1@gmail.com
Best used on:
6-minute timeframe
Liquid instruments (SPY, QQQ, IWM, index futures, high-volume stocks)
Session Volume Analyzer [JOAT]
Session Volume Analyzer — Global Trading Session and Volume Intelligence System
This indicator addresses the analytical challenge of understanding market participation patterns across global trading sessions. It combines precise session detection with comprehensive volume analysis to provide insights into when and how different market participants are active. The tool recognizes that different trading sessions exhibit distinct characteristics in terms of participation, volatility, and volume patterns.
Why This Combination Provides Unique Analytical Value
Traditional session indicators typically only show time boundaries, while volume indicators show raw volume data without session context. This creates analytical gaps:
1. **Session Context Missing**: Volume spikes without session context provide incomplete information
2. **Participation Patterns Hidden**: Different sessions have different participant types (retail, institutional, algorithmic)
3. **Comparative Analysis Lacking**: No easy way to compare volume patterns across sessions
4. **Timing Intelligence Absent**: Understanding WHEN volume occurs is as important as HOW MUCH volume occurs
This indicator's originality lies in creating an integrated session-volume analysis system that:
**Provides Session-Aware Volume Analysis**: Volume data is contextualized within specific trading sessions
**Enables Cross-Session Comparison**: Compare volume patterns between Asian, London, and New York sessions
**Delivers Participation Intelligence**: Understand which sessions are showing above-normal participation
**Offers Real-Time Session Tracking**: Know exactly which session is active and how current volume compares
Technical Innovation and Originality
While session detection and volume analysis exist separately, the innovation lies in:
1. **Integrated Session-Volume Architecture**: Simultaneous tracking of session boundaries and volume statistics creates comprehensive market participation analysis
2. **Multi-Session Volume Comparison System**: Real-time calculation and comparison of volume statistics across different global sessions
3. **Adaptive Volume Threshold Detection**: Automatic identification of above-average volume periods within session context
4. **Comprehensive Visual Integration**: Session backgrounds, volume highlights, and statistical dashboards provide complete market participation picture
How Session Detection and Volume Analysis Work Together
The integration creates a sophisticated market participation analysis system:
**Session Detection Logic**: Uses Pine Script's time functions to identify active sessions
// Session detection based on exchange time
bool inAsian = not na(time(timeframe.period, asianSession))
bool inLondon = not na(time(timeframe.period, londonSession))
bool inNY = not na(time(timeframe.period, nySession))
// Session transition detection
bool asianStart = inAsian and not inAsian
bool londonStart = inLondon and not inLondon
bool nyStart = inNY and not inNY
**Volume Analysis Integration**: Volume statistics are calculated within session context
// Session-specific volume accumulation
if asianStart
asianVol := 0.0
asianBars := 0
if inAsian
asianVol += volume
asianBars += 1
// Real-time session volume analysis
float asianAvgVol = asianBars > 0 ? asianVol / asianBars : 0
**Relative Volume Assessment**: Current volume compared to session-specific averages
float volMA = ta.sma(volume, volLength)
float volRatio = volMA > 0 ? volume / volMA : 1
// Volume classification within session context
bool isHighVol = volRatio >= 1.5 and volRatio < 2.5
bool isVeryHighVol = volRatio >= 2.5
This creates a system where volume analysis is always contextualized within the appropriate trading session, providing more meaningful insights than raw volume data alone.
Comprehensive Session Analysis Framework
**Default Session Definitions** (customizable based on broker timezone):
- **Asian Session**: 1800-0300 (exchange time) - Represents Asian market participation including Tokyo, Hong Kong, Singapore
- **London Session**: 0300-1200 (exchange time) - Represents European market participation
- **New York Session**: 0800-1700 (exchange time) - Represents North American market participation
**Session Overlap Analysis**: The system recognizes and highlights overlap periods:
- **London/New York Overlap**: 0800-1200 - Typically the highest volume period
- **Asian/London Overlap**: 0300-0300 (brief) - Transition period
- **New York/Asian Overlap**: 1700-1800 (brief) - End of NY, start of Asian
**Volume Intelligence Features**:
1. **Session-Specific Volume Accumulation**: Tracks total volume within each session
2. **Cross-Session Volume Comparison**: Compare current session volume to other sessions
3. **Relative Volume Detection**: Identify when current volume exceeds historical averages
4. **Participation Pattern Analysis**: Understand which sessions show consistent high/low participation
Advanced Volume Analysis Methods
**Relative Volume Calculation**:
float volMA = ta.sma(volume, volLength) // Volume moving average
float volRatio = volMA > 0 ? volume / volMA : 1 // Current vs average ratio
// Multi-tier volume classification
bool isNormalVol = volRatio < 1.5
bool isHighVol = volRatio >= 1.5 and volRatio < 2.5
bool isVeryHighVol = volRatio >= 2.5
bool isExtremeVol = volRatio >= 4.0
**Session Volume Tracking**:
// Cumulative session volume with bar counting
if londonStart
londonVol := 0.0
londonBars := 0
if inLondon
londonVol += volume
londonBars += 1
// Average volume per bar calculation
float londonAvgVol = londonBars > 0 ? londonVol / londonBars : 0
**Cross-Session Volume Comparison**:
The system maintains running totals for each session, enabling real-time comparison of participation levels across different global markets.
What the Display Shows
Session Backgrounds — Colored backgrounds indicating which session is active
- Pink: Asian session
- Blue: London session
- Green: New York session
Session Open Lines — Horizontal lines at each session's opening price
Session Markers — Labels (AS, LN, NY) when sessions begin
Volume Highlights — Bar coloring when volume exceeds thresholds
- Orange: High volume (1.5x+ average)
- Red: Very high volume (2.5x+ average)
Dashboard — Current session, cumulative volume, and averages
Color Scheme
Asian — #E91E63 (pink)
London — #2196F3 (blue)
New York — #4CAF50 (green)
High Volume — #FF9800 (orange)
Very High Volume — #F44336 (red)
Inputs
Session Times:
Asian Session window (default: 1800-0300)
London Session window (default: 0300-1200)
New York Session window (default: 0800-1700)
Volume Settings:
Volume MA Length (default: 20)
High Volume threshold (default: 1.5x)
Very High Volume threshold (default: 2.5x)
Visual Settings:
Session colors (customizable)
Show/hide backgrounds, lines, markers
Background transparency
How to Read the Display
Background color shows which session is currently active
Session open lines show where each session started
Orange/red bars indicate above-average volume
Dashboard shows cumulative volume for each session today
Alerts
Session opened (Asian, London, New York)
High volume bar detected
Very high volume bar detected
Important Limitations and Realistic Expectations
Session times are approximate and depend on your broker's server timezone—manual adjustment may be required for accuracy
Volume data quality varies significantly by broker, instrument, and market type
Cryptocurrency and some forex markets trade continuously, making traditional session boundaries less meaningful
High volume indicates participation level only—it does not predict price direction or market outcomes
Session participation patterns can change over time due to market structure evolution, holidays, and economic conditions
This tool displays historical and current market participation data—it cannot predict future volume or price movements
Volume spikes can occur for numerous reasons unrelated to directional price movement (news, algorithmic trading, etc.)
Different instruments exhibit different session sensitivity and volume patterns
Market holidays and special events can significantly alter normal session patterns
Appropriate Use Cases
This indicator is designed for:
- Market participation pattern analysis
- Session-based trading schedule planning
- Volume context and comparison across sessions
- Educational study of global market structure
- Supplementary analysis for session-based strategies
This indicator is NOT designed for:
- Standalone trading signal generation
- Volume-based price direction prediction
- Automated trading system triggers
- Guaranteed session pattern repetition
- Replacement of fundamental or sentiment analysis
Understanding Session Analysis Limitations
Session analysis provides valuable context but has inherent limitations:
- Session patterns can change due to economic conditions, holidays, and market structure evolution
- Volume patterns may not repeat consistently across different market conditions
- Global events can override normal session characteristics
- Different asset classes respond differently to session boundaries
- Technology and algorithmic trading continue to blur traditional session distinctions
— Made with passion by officialjackofalltrades
Verified Astro-Table SimplifiedThis script, titled the **Financial Astrological Ephemeris Table**, is designed to be a high-precision astronomical dashboard for TradingView. Unlike standard indicators that rely on price formulas, this script serves as a **digital bridge** between professional Swiss Ephemeris data and your trading chart.
Here is a detailed breakdown of what the script provides and how to maximize its utility.
---
**1. What the Script Provides**
**A. 100% Ephemeris Synchronization**
Most "Astro" indicators in TradingView use "mean motion" math, which drifts over time. This script uses **Static Switch Logic**. By hard-coding the data from the Swiss Ephemeris, the script ensures that the degrees you see on your chart match the physical reality of the sky.
* **Sun & Moon**: Accurate to the degree for the current period.
* **Saturn & Outer Planets**: Corrects the "sign drift" found in other scripts, keeping Saturn in its true position (late Pisces for 2025).
**B. Sign & Degree Tracking**
The script translates raw longitude (0–360°) into the traditional 12-sign zodiac format (`Sign` + `Degree`). This allows you to immediately identify where planets are transiting relative to key price levels.
**C. The Sun-Relative House System**
The script calculates an **Equal House System** based on the Sun's current position.
* This treats the Sun as the "Rising" point for the day's dashboard, showing you how other planets are "angled" relative to the Sun's current solar light.
**D. Stability and Performance**
Because the script uses `barstate.islast`, it only calculates for the most recent candle. This prevents "Runtime Errors" and ensures your TradingView platform remains fast and responsive, even on low-powered laptops.
---
**2. How to Use it Effectively**
**A. Identifying Confluence with Price**
Watch for "Degree Hits." If the table shows **Saturn at 25° Pisces** and your asset is hitting a major resistance level at a number ending in **25** (or a harmonic like 2.50), it signifies a moment of "Astro-Price Confluence." These are often high-probability reversal points.
**B. Customizing the Visual Experience**
You can tailor the dashboard to your specific chart layout via the **Settings (Gear Icon)**:
* **Position**: Move the table to any corner (Top Right, Bottom Left, etc.) so it doesn't block your price action.
* **Transparency**: Adjust the "Background Color" to make the table more subtle or more prominent.
* **Text Size**: If you trade on a mobile device, set the text to "Normal." If you use a 4K monitor, set it to "Tiny" to save space.
**C. Managing the "Switch" Data**
To keep the script accurate for the long term, I will update the `get_pdf_lon` block once a month (or once a year) with the new coordinates from the Swiss Ephemeris.
**D. Directional Trading (The "Dir" Column)**
The script includes a "Direction" column. Use this to track if a planet is **Direct (D)** or **Retrograde (Rx)**.
**Strategy**: If a planet is listed as "D," its influence is considered "forward-moving" and predictable. If you update the code to show "Rx," expect the market sectors associated with that planet to experience "re-evaluations" or delays.
---
### Summary of Benefits for the User
1. **Eliminates Guesswork**: You no longer have to flip between an Ephemeris and TradingView; the data is on your screen.
2. **Historical Analysis**: You can manually change the data in the script to a historical date to see exactly how the "Astro-Weather" looked during a previous market crash or rally.
CHAYA Gold Turbo SMC v.1
CHAYA Gold Turbo SMC v.1
"The Perfect Synergy of Speed and Smart Money Concepts"
An advanced trading indicator specifically engineered for Gold (XAUUSD) and high-volatility assets. It seamlessly integrates a high-speed Turbo Trend Tracking system with institutional Smart Money Concepts (SMC), providing you with a definitive edge in both trend direction and precision entry points.
🚀 Core Features
1. Ultra-Fast Turbo Signal
Trend Tracking: An intelligent trend calculation engine using short-term ATR values. It allows you to stay aligned with gold trends from their inception and reacts swiftly to sudden price surges.
Visual Signals: Highly visible BUY / SELL labels on the chart, complemented by Background Highlights that allow you to distinguish between bullish and bearish market conditions at a single glance.
2. Smart FVG (Fair Value Gap) Mitigation
Auto Detection: Automatically identifies price imbalances (FVG) where the price is likely to return and "re-fill."
Smart Cleaning: Featuring a unique Mitigation Logic—FVG boxes are automatically removed once the price has filled the gap. This keeps your chart clean and focused only on "Fresh Zones" that are still relevant.
3. Institutional Order Block (OB)
Identifies Order Blocks, the "footprints" of institutional players that occur before significant price movements. This helps you pinpoint high-probability reversal points or trend-continuation entries, with zones clearly labeled on the chart.
4. Dynamic Pivot Support & Resistance
Automatically plots support and resistance lines based on the latest Pivot High/Low points, helping you visualize key conflict zones where price may pause or break out.
🎯 Why Choose CHAYA Gold Turbo SMC?
Market Noise Reduction: Filters out false signals by correlating Trend direction with SMC Zones.
User-Friendly: Every function is designed for clarity and visual comfort, avoiding a cluttered interface.
Fully Customizable: Adjust signal sensitivity (ATR/Factor) to fit your preferred timeframe, whether it's M1/M5 for Scalping or H1 for Day Trading.
💡 Recommended Trading Strategy
"Trade when direction aligns with the zones"
Wait for a BUY signal to appear while the background is Green.
Look for a safe entry within the Bullish OB or FVG zones below.
Place your Stop Loss behind the Pivot support line for maximum security.
"Investment involves risk. Investors should thoroughly study the information and always be aware that there is a possibility of losing the entire principal investment. This indicator is intended to be used as a guideline and for educational purposes only; it does not guarantee any profits or specific results."
🏆 CHAYA Gold Turbo SMC v.1
"The Perfect Synergy of Speed and Smart Money Concepts"
อินดิเคเตอร์ที่ถูกออกแบบมาเพื่อการเทรดทองคำ (Gold) และสินทรัพย์ที่มีความผันผวนสูงโดยเฉพาะ โดยการผสมผสานระหว่างระบบ Turbo Trend Tracking ที่รวดเร็ว เข้ากับหลักการเทรดระดับสถาบันอย่าง Smart Money Concepts (SMC) เพื่อให้คุณได้เปรียบทั้งในด้านทิศทางราคาและจุดเข้าเทรดที่คมกริบ
🚀 คุณสมบัติเด่น (Core Features)
1. Ultra-Fast Turbo Signal
Trend Tracking: ระบบคำนวณเทรนด์อัจฉริยะที่ใช้ค่า ATR ระยะสั้น ช่วยให้คุณเกาะติดแนวโน้มทองคำได้ตั้งแต่ต้นเทรนด์ ตอบสนองไวต่อทุกการกระชากของราคา
Visual Signal: ป้ายสัญญาณ BUY / SELL ขนาดชัดเจนบนหน้าจอ พร้อมแถบสีพื้นหลัง (Background Highlight) ที่ช่วยแยกสภาวะตลาดขาขึ้นและขาลงให้คุณเห็นได้อย่างง่ายดายเพียงพริบตา
2. Smart FVG (Fair Value Gap) Mitigation
Auto Detection: ตรวจหาช่องว่างราคา (Imbalance) โดยอัตโนมัติ ซึ่งเป็นโซนที่ราคามักจะไหลกลับมาเติมเต็ม (Re-fill)
Smart Cleaning: พิเศษด้วยระบบ Mitigation Logic กล่อง FVG จะถูกลบออกโดยอัตโนมัติเมื่อราคาได้ทำการเติมเต็มช่องว่างนั้นแล้ว ช่วยให้กราฟของคุณสะอาดและโฟกัสเฉพาะโซนที่ "ยังใช้งานได้จริง" (Fresh Zones) เท่านั้น
3. Institutional Order Block (OB)
ระบุโซน Order Block หรือรอยเท้าของรายใหญ่ที่เกิดขึ้นก่อนการพุ่งตัวแรงของราคา ช่วยให้คุณหาจุดกลับตัว (Reversal) หรือจุดย่อเข้าตามเทรนด์ (Trend Following) ได้อย่างแม่นยำ พร้อมระบุชื่อโซนชัดเจนบนกราฟ
4. Dynamic Pivot Support & Resistance
ตีเส้นแนวรับ-แนวต้านจากจุด Pivot High/Low ล่าสุดให้แบบอัตโนมัติ ช่วยให้คุณมองเห็นแนวปะทะสำคัญที่ราคาอาจมีการพักตัวหรือเลือกทาง
🎯 ทำไมต้องใช้ CHAYA Gold Turbo SMC?
ลด Noise ในตลาด: กรองสัญญาณหลอกด้วยการใช้ความสัมพันธ์ระหว่าง Trend และ SMC Zones
เทรดง่าย (User Friendly): ทุกฟังก์ชันถูกออกแบบมาให้ดูง่าย สบายตา ไม่รกกราฟ
ปรับแต่งได้ (Customizable): สามารถปรับความไวของสัญญาณ (ATR/Factor) ให้เหมาะกับไทม์เฟรมที่คุณถนัด ไม่ว่าจะเป็น M1, M5 สำหรับ Scalping หรือ H1 สำหรับ Day Trade
💡 กลยุทธ์การเทรดแนะนำ
"เข้าเทรดเมื่อสัญญาณทิศทางสอดคล้องกับโซน"
รอสัญญาณ BUY ปรากฏขึ้นในขณะที่พื้นหลังเป็นสีเขียว
มองหาจุดเข้าที่ปลอดภัยในโซน Bullish OB หรือ FVG ด้านล่าง
วาง Stop Loss หลังเส้นแนวรับ Pivot เพื่อความปลอดภัยสูงสุด
"การลงทุนมีความเสี่ยง ผู้ลงทุนโปรดศึกษา และ ตระหนักเสมอว่า มีโอกาสที่เงินทุน จะหมดไปได้ อินดิเคเตอร์ นี้ มีไว้เพื่อเป็น ไกด์ไลน์ ประกอบเท่านั้น ไม่สามารถ การันตีของผลกำไรได้"
Chaya AllinOne Ver.2 For GoldChaya AllinOne Ver.2 For Gold
ผู้สร้างสนใจสินทรัพย์เพียงทองคำเท่านั้น อาจจะไม่เหมาะสม กับ สินทรัพย์ ตัวอื่น
Note: This tool is specifically optimized for Gold (XAUUSD) trading. It may not perform accurately or be suitable for other asset classes.
คำแนะนำการใช้งาน:
หากคุณเปิดใน TF เล็กๆ แนะนำ ให้ เก็บกำไร เพียงน้อย 1-3 เหรียญ จริง อาจจะได้ ถึง 5-8 เหรียญ ใน TF5m
แถบฉากหลังสีเขียว ให้เน้นฝั่ง ซื้อ และ ฉากสีแดงให้เน้นฝั่งขาย
แนะนำให้ดูเป็นแนวทาง การซื้อขายเท่านั้น และ ควรทดลองใช้ กับ บัญชี ทดลองก่อน
การลงทุนมีความเสี่ยงผู้ลงทุน ควรศึกษา ให้ เข้าใจก่อน
rading Guidelines & Instructions
Profit Targets: When trading on small timeframes (Small TF), we recommend a conservative profit target of 1–3 usd For the 5-minute timeframe (M5), you may aim for 5–8 usd
Background Signals: * Green Background: Prioritize Buy/Long positions.
Red Background: Prioritize Sell/Short positions.
Practice First: This indicator is intended as a trading guide only. We strongly advise testing it on a Demo Account before trading with real capital.
Risk Warning: Investing involves inherent risks. Please ensure you fully understand the market and the strategy before making any investment decisions.
Chaya + FVG Smart Trend Convergence
EN Description:
This All-in-One script identifies high-probability entries by merging Momentum (MACD/RSI) with Price Action (FVG).
Logic: It filters signals using an EMA trend filter. Signals (B/S) appear when momentum recovers within a trend.
Smart FVG: Automatically identifies imbalances and includes a "Mitigation Logic" to hide filled gaps, keeping the chart clean.
Usage: Buy (B) above EMA with Bullish FVG support; Sell (S) below EMA with Bearish FVG resistance. Adjust "Risk Level" to suit your strategy.
คำอธิบายภาษาไทย:
สคริปต์แบบ All-in-One ที่รวม Momentum (MACD/RSI) เข้ากับ Price Action (FVG) เพื่อหาจุดเข้าเทรดที่แม่นยำ
หลักการ: ใช้ EMA กรองเทรนหลัก สัญญาณซื้อขาย (B/S) จะคำนวณจากโมเมนตัมที่สอดคล้องกับแนวโน้ม
Smart FVG: แสดงช่องว่างราคาอัตโนมัติ พร้อมระบบ Mitigation ที่จะซ่อนกล่องเมื่อราคาเติมเต็มช่องว่างแล้ว เพื่อลดความสับสนบนกราฟ
วิธีใช้: เข้าซื้อ (B) เมื่ออยู่เหนือ EMA และมี FVG รองรับ / ขาย (S) เมื่ออยู่ใต้ EMA และมี FVG ต้านไว้ ปรับค่า Risk Level ได้ตามต้องการ






















