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Advanced Bearish Indicator with AlertsSELL baby sell
I wanted a soul bearish indicator to tell me when to raise my stop or close my trade.
Works on all time frames, great for Gold and Stocks.
conditions:: Price must be above the 20 ema line.
When a doji and or a spinning-top touch the 8 ema line to the downside, a red triangle will appear on top of that candle.
The fifth time this happens, a red "X" that has a seperate SELL alert, will appear above that candle - if your automating your trades, you can automate your trade so the stoploss will rise by 80% or more when you get an 'X".
Happy trading.
Zweig Breadth Thrust (%)Zweig Breadth Thrust Indicator for US Markets (NYSE, NASDAQ, AMEX, All Markets)
The formula for calculating the Zweig Breadth Thrust involves several steps. Here’s a simplified version of the calculation:
1. Calculate the number of advancing stocks (those that increased in price) over a specified period, usually the past 10 trading days.
2. Calculate the number of declining stocks (those that decreased in price) over the same period.
3. Calculate the 10-day moving average (either SMA or EMA) of the advancing stocks.
4. Calculate the 10-day moving average (either SMA orEMA) of the declining stocks.
5. Calculate the ZBT value by dividing the 10-day EMA of advancing issues by the sum of the 10-day EMA of advancing issues and the 10-day EMA of declining issues, then multiplying by 100 to convert it to a percentage.
sMA200 w/ voL FiLL //JiTNyC]A visually appealing "Trend" indicator that displays the 200 SMA... Blue & Gray have been swapped out for traditional Green & Red. The shading on both sides corresponds to the volume. The lighter the shade, the closer to a reversal. Created for any ticker via NYSE & works on any timeframe.
Triple Confirmation by GSK-VIZAG-AP-INDIA📌 Name:
Triple Confirmation by GSK-VIZAG-AP-INDIA
🔍 1. Purpose of the Indicator
This is a multi-factor trend confirmation tool. It aims to filter out noise and generate high-probability buy/sell signals using a blend of momentum, trend-following, and volume logic.
🔧 2. Core Logic & Unique Aspects
Users can choose 3 custom trend sources from:
MACD crossovers (normal or fast)
RSI signals and levels
Mom-Dad (Top Dog Trading) strategy
Heikin-Ashi candle strength
These 3 selected signals are averaged and smoothed via an EMA-based trend band
Signal confirmation is only given when all 3 selected indicators agree in direction
Visual enhancements include:
Colored histograms & bars
EMA channel bands for trend guidance
Buy/Sell labels + background highlights
Volume spike-based filtering logic
🎯 3. Intended Use Cases
Intraday and swing traders
Ideal for index, stock, and crypto trading
Suitable for users who want stronger confirmation before entering trades
📈 4. Chart Output
Color-coded columns for each trend input
Dot markers to confirm third trend bar logic
EMA-based middle line with upper and lower bands
Buy/Sell arrows + color-coded background on confirmation
Alerts triggered only when all three selected conditions align
⚙️ 5. User Input Flexibility
Choose 3 different logic sources for trend validation
Set lookback periods, volume spike multipliers, and EMA lengths
Great for backtesting variations of strategies within one script
🛡️ 6. Why Invite-Only?
Protected script to preserve proprietary multi-confirmation logic
Intended for private access only to prevent unauthorized cloning
🔐 7. Access Instructions
Users can request access by:
Following the author's TradingView profile
Messaging the author directly
Advanced Volume Thresholds w/offset by JelloStaxxOverview
This Pine Script v4 indicator, named "Advanced Volume Thresholds by JelloStaxx", is designed to visualize volume data with a customizable moving average (MA) and threshold-based signals. It provides traders with tools to analyze volume trends, set custom thresholds for signal generation, and adjust the MA dynamically. The script includes several features to enhance flexibility and visualization, such as offsetting or scaling the MA, adjusting for volatility, confirming signals with consecutive bars, and adding visual cues like labels and background highlights. The indicator is plotted in a separate pane below the main chart (overlay=false).
Key Features
Customizable Volume Moving Average (MA):
Choose between a Simple Moving Average (SMA) or Exponential Moving Average (EMA) for the volume MA.
Adjust the MA length to suit your analysis (e.g., 200 periods by default).
The MA is plotted as a white line (customizable via the Style tab in TradingView).
Threshold-Based Volume Coloring:
Volume bars are colored based on their value relative to three thresholds, which are multiples of the MA:
Below multiplier_1 (default: 0.5x MA): Gray
Below multiplier_2 (default: 1.0x MA): Yellow
Below multiplier_3 (default: 2.0x MA): Orange
Above multiplier_3: Red
These multipliers can be adjusted to change the sensitivity of the coloring.
MA Adjustments for Greater Control:
Offset Adjustment: Shift the MA up or down by a fixed amount or percentage to make it easier or harder for volume to cross thresholds.
Scaling Factor: Multiply the MA by a factor to scale it proportionally (e.g., 1.2 to increase by 20%).
Volatility Adjustment: Add a multiple of the volume’s standard deviation to the MA, making it adaptive to market volatility.
Custom Signal Threshold:
Define a specific volume threshold for generating signals, either as a multiplier of the MA (e.g., 1.5x MA) or a fixed value (e.g., 50,000).
This threshold is plotted as a solid blue line when enabled (v4 limitation: dashed lines are not supported).
DropHunterBuy: Green triangle under the candle (price at the lower BB band, RSI < 30, EMA(9) > EMA(50)).
Stop loss: 10-15 points (M15) or 20-30 points (H1).
Take profit: 20-30 points (M15) or 50-70 points (H1).
Sale: Red triangle above the candle (price at the upper BB band, RSI > 70, EMA(9) < EMA(50)).
Stop loss and take profit are similar.
Exit: Close the position when the middle BB line (bbMiddle) is reached or when the opposite signal is given.
Risk: 2-5% deposit per transaction (for example, $20-50 with a deposit of $1000).
Dskyz (DAFE) Quantum Sentiment Flux - Beginners Dskyz (DAFE) Quantum Sentiment Flux - Beginners:
Welcome to the Dskyz (DAFE) Quantum Sentiment Flux - Beginners , a strategy and concept that’s your ultimate wingman for trading futures like MNQ, NQ, MES, and ES. This gem combines lightning-fast momentum signals, market sentiment smarts, and bulletproof risk management into a system so intuitive, even newbies can trade like pros. With clean DAFE visuals, preset modes for every vibe, and a revamped dashboard that’s basically a market GPS, this strategy makes futures trading feel like a high-octane sci-fi mission.
Built on the Dskyz (DAFE) legacy of Aurora Divergence, the Quantum Sentiment Flux is designed to empower beginners while giving seasoned traders a lean, sentiment-driven edge. It uses fast/slow EMA crossovers for entries, filters trades with VIX, SPX trends, and sector breadth, and keeps your account safe with adaptive stops and cooldowns. Tuned for more action with faster signals and a slick bottom-left dashboard, this updated version is ready to light up your charts and outsmart institutional traps. Let’s dive into why this strat’s a must-have and break down its brilliance.
Why Traders Need This Strategy
Futures markets are a wild ride—fast moves, volatility spikes (like the April 28, 2025 NQ 1k-point drop), and institutional games that can wreck unprepared traders. Beginners often get lost in complex systems or burned by impulsive trades. The Quantum Sentiment Flux is the antidote, offering:
Dead-Simple Setup: Preset modes (Aggressive, Balanced, Conservative) auto-tune signals, risk, and sizing, so you can trade without a quant degree.
Sentiment Superpower: VIX filter, SPX trend, and sector breadth visuals keep you aligned with market health, dodging chop and riding trends.
Ironclad Safety: Tighter ATR-based stops, 2:1 take-profits, and preset cooldowns protect your capital, even in chaotic sessions.
Next-Level Visuals: Green/red entry triangles, vibrant EMAs, a sector breadth background, and a beefed-up dashboard make signals and context pop.
DAFE Swagger: The clean aesthetics, sleek dashboard—ties it to Dskyz’s elite brand, making your charts a work of art.
Traders need this because it’s a plug-and-play system that blends beginner-friendly simplicity with pro-level market awareness. Whether you’re just starting or scalping 5min MNQ, this strat’s your key to trading with confidence and style.
Strategy Components
1. Core Signal Logic (High-Speed Momentum)
The strategy’s engine is a momentum-based system using fast and slow Exponential Moving Averages (EMAs), now tuned for faster, more frequent trades.
How It Works:
Fast/Slow EMAs: Fast EMA (Aggressive: 5, Balanced: 7, Conservative: 9 bars) and slow EMA (12/14/18 bars) track short-term vs. longer-term momentum.
Crossover Signals:
Buy: Fast EMA crosses above slow EMA, and trend_dir = 1 (fast EMA > slow EMA + ATR * strength threshold).
Sell: Fast EMA crosses below slow EMA, and trend_dir = -1 (fast EMA < slow EMA - ATR * strength threshold).
Strength Filter: ma_strength = fast EMA - slow EMA must exceed an ATR-scaled threshold (Aggressive: 0.15, Balanced: 0.18, Conservative: 0.25) for robust signals.
Trend Direction: trend_dir confirms momentum, filtering out weak crossovers in choppy markets.
Evolution:
Faster EMAs (down from 7–10/21–50) catch short-term trends, perfect for active futures markets.
Lower strength thresholds (0.15–0.25 vs. 0.3–0.5) make signals more sensitive, boosting trade frequency without sacrificing quality.
Preset tuning ensures beginners get optimized settings, while pros can tweak via mode selection.
2. Market Sentiment Filters
The strategy leans hard into market sentiment with a VIX filter, SPX trend analysis, and sector breadth visuals, keeping trades aligned with the big picture.
VIX Filter:
Logic: Blocks long entries if VIX > threshold (default: 20, can_long = vix_close < vix_limit). Shorts are always allowed (can_short = true).
Impact: Prevents longs during high-fear markets (e.g., VIX spikes in crashes), while allowing shorts to capitalize on downturns.
SPX Trend Filter:
Logic: Compares S&P 500 (SPX) close to its SMA (Aggressive: 5, Balanced: 8, Conservative: 12 bars). spx_trend = 1 (UP) if close > SMA, -1 (DOWN) if < SMA, 0 (FLAT) if neutral.
Impact: Provides dashboard context, encouraging trades that align with market direction (e.g., longs in UP trend).
Sector Breadth (Visual):
Logic: Tracks 10 sector ETFs (XLK, XLF, XLE, etc.) vs. their SMAs (same lengths as SPX). Each sector scores +1 (bullish), -1 (bearish), or 0 (neutral), summed as breadth (-10 to +10).
Display: Green background if breadth > 4, red if breadth < -4, else neutral. Dashboard shows sector trends (↑/↓/-).
Impact: Faster SMA lengths make breadth more responsive, reflecting sector rotations (e.g., tech surging, energy lagging).
Why It’s Brilliant:
- VIX filter adds pro-level volatility awareness, saving beginners from panic-driven losses.
- SPX and sector breadth give a 360° view of market health, boosting signal confidence (e.g., green BG + buy signal = high-probability trade).
- Shorter SMAs make sentiment visuals react faster, perfect for 5min charts.
3. Risk Management
The risk controls are a fortress, now tighter and more dynamic to support frequent trading while keeping accounts safe.
Preset-Based Risk:
Aggressive: Fast EMAs (5/12), tight stops (1.1x ATR), 1-bar cooldown. High trade frequency, higher risk.
Balanced: EMAs (7/14), 1.2x ATR stops, 1-bar cooldown. Versatile for most traders.
Conservative: EMAs (9/18), 1.3x ATR stops, 2-bar cooldown. Safer, fewer trades.
Impact: Auto-scales risk to match style, making it foolproof for beginners.
Adaptive Stops and Take-Profits:
Logic: Stops = entry ± ATR * atr_mult (1.1–1.3x, down from 1.2–2.0x). Take-profits = entry ± ATR * take_mult (2x stop distance, 2:1 reward/risk). Longs: stop below entry, TP above; shorts: vice versa.
Impact: Tighter stops increase trade turnover while maintaining solid risk/reward, adapting to volatility.
Trade Cooldown:
Logic: Preset-driven (Aggressive/Balanced: 1 bar, Conservative: 2 bars vs. old user-input 2). Ensures bar_index - last_trade_bar >= cooldown.
Impact: Faster cooldowns (especially Aggressive/Balanced) allow more trades, balanced by VIX and strength filters.
Contract Sizing:
Logic: User sets contracts (default: 1, max: 10), no preset cap (unlike old 7/5/3 suggestion).
Impact: Flexible but risks over-leverage; beginners should stick to low contracts.
Built To Be Reliable and Consistent:
- Tighter stops and faster cooldowns make it a high-octane system without blowing up accounts.
- Preset-driven risk removes guesswork, letting newbies trade confidently.
- 2:1 TPs ensure profitable trades outweigh losses, even in volatile sessions like April 27, 2025 ES slippage.
4. Trade Entry and Exit Logic
The entry/exit rules are simple yet razor-sharp, now with VIX filtering and faster signals:
Entry Conditions:
Long Entry: buy_signal (fast EMA crosses above slow EMA, trend_dir = 1), no position (strategy.position_size = 0), cooldown passed (can_trade), and VIX < 20 (can_long). Enters with user-defined contracts.
Short Entry: sell_signal (fast EMA crosses below slow EMA, trend_dir = -1), no position, cooldown passed, can_short (always true).
Logic: Tracks last_entry_bar for visuals, last_trade_bar for cooldowns.
Exit Conditions:
Stop-Loss/Take-Profit: ATR-based stops (1.1–1.3x) and TPs (2x stop distance). Longs exit if price hits stop (below) or TP (above); shorts vice versa.
No Other Exits: Keeps it straightforward, relying on stops/TPs.
5. DAFE Visuals
The visuals are pure DAFE magic, blending clean function with informative metrics utilized by professionals, now enhanced by faster signals and a responsive breadth background:
EMA Plots:
Display: Fast EMA (blue, 2px), slow EMA (orange, 2px), using faster lengths (5–9/12–18).
Purpose: Highlights momentum shifts, with crossovers signaling entries.
Sector Breadth Background:
Display: Green (90% transparent) if breadth > 4, red (90%) if breadth < -4, else neutral.
Purpose: Faster breadth_sma_len (5–12 vs. 10–50) reflects sector shifts in real-time, reinforcing signal strength.
- Visuals are intuitive, turning complex signals into clear buy/sell cues.
- Faster breadth background reacts to market rotations (e.g., tech vs. energy), giving a pro-level edge.
6. Sector Breadth Dashboard
The new bottom-left dashboard is a game-changer, a 3x16 table (black/gray theme) that’s your market command center:
Metrics:
VIX: Current VIX (red if > 20, gray if not).
SPX: Trend as “UP” (green), “DOWN” (red), or “FLAT” (gray).
Trade Longs: “OK” (green) if VIX < 20, “BLOCK” (red) if not.
Sector Breadth: 10 sectors (Tech, Financial, etc.) with trend arrows (↑ green, ↓ red, - gray).
Placeholder Row: Empty for future metrics (e.g., ATR, breadth score).
Purpose: Consolidates regime, volatility, market trend, and sector data, making decisions a breeze.
- VIX and SPX metrics add context, helping beginners avoid bad trades (e.g., no longs if “BLOCK”).
Sector arrows show market health at a glance, like a cheat code for sentiment.
Key Features
Beginner-Ready: Preset modes and clear visuals make futures trading a breeze.
Sentiment-Driven: VIX filter, SPX trend, and sector breadth keep you in sync with the market.
High-Frequency: Faster EMAs, tighter stops, and short cooldowns boost trade volume.
Safe and Smart: Adaptive stops/TPs and cooldowns protect capital while maximizing wins.
Visual Mastery: DAFE’s clean flair, EMAs, dashboard—makes trading fun and clear.
Backtestable: Lean code and fixed qty ensure accurate historical testing.
How to Use
Add to Chart: Load on a 5min MNQ/ES chart in TradingView.
Pick Preset: Aggressive (scalping), Balanced (versatile), or Conservative (safe). Balanced is default.
Set Contracts: Default 1, max 10. Stick low for safety.
Check Dashboard: Bottom-left shows preset, VIX, SPX, and sectors. “OK” + green breadth = strong buy.
Backtest: Run in strategy tester to compare modes.
Live Trade: Connect to Tradovate or similar. Watch for slippage (e.g., April 27, 2025 ES issues).
Replay Test: Try April 28, 2025 NQ drop to see VIX filter and stops in action.
Why It’s Brilliant
The Dskyz (DAFE) Quantum Sentiment Flux - Beginners is a masterpiece of simplicity and power. It takes pro-level tools—momentum, VIX, sector breadth—and wraps them in a system anyone can run. Faster signals and tighter stops make it a trading machine, while the VIX filter and dashboard keep you ahead of market chaos. The DAFE visuals and bottom-left command center turn your chart into a futuristic cockpit, guiding you through every trade. For beginners, it’s a safe entry to futures; for pros, it’s a scalping beast with sentiment smarts. This strat doesn’t just trade—it transforms how you see the market.
Final Notes
This is more than a strategy—it’s your launchpad to mastering futures with Dskyz (DAFE) flair. The Quantum Sentiment Flux blends accessibility, speed, and market savvy to help you outsmart the game. Load it, watch those triangles glow, and let’s make the markets your canvas!
Official Statement from Pine Script Team
(see TradingView help docs and forums):
"This warning may appear when you call functions such as ta.sma inside a request.security in a loop. There is no runtime impact. If you need to loop through a dynamic list of tickers, this cannot be avoided in the present version... Values will still be correct. Ignore this warning in such contexts."
(This publishing will most likely be taken down do to some miscellaneous rule about properly displaying charting symbols, or whatever. Once I've identified what part of the publishing they want to pick on, I'll adjust and repost.)
Use it with discipline. Use it with clarity. Trade smarter.
**I will continue to release incredible strategies and indicators until I turn this into a brand or until someone offers me a contract.
Created by Dskyz, powered by DAFE Trading Systems. Trade fast, trade bold.
🚨 MA Cross Painter Combo + 73/100 Touch + Alerts Candles paint on specified moving average to help you mark off highs and lows and getting in at the right areas. Colors and Moving averages can be changed to preference color.
IMPOSSIBLE IS INMy Curiosity about all the trading Strategies and mindset came to an end. It has cost me a lot more than money to reach to this point, but with no regrets I present you the unbeatable🚩 inevitable dream strategy that could create unbelievable a
& catastrophic changes in your whole lifetime. This has cost me far more than any material value. A taste of lost luck and merely only my passion for my trading journey. I never stopped. Thank you.
And remember one thing age is just a number. I made this being a 23 year old Guy, whose was just dreaming along Situations that were totally depressing but life has its own ways
Try these setting on one hour time frame=
🎴BB Length 27
🎴BB StdDev 1.2
🎴Basis MA Type@ SMMA (…)
🎴Source: close
🎴Offset: 3
🕦Start Date: 2018-01-01🏁05:30
🕦End Date: 2069-12-31🏁23:59
🎴ATR Length🚩10
🎴ATR Multiplier for Trailing Stop🚩1.7
🤝Properties-
🎴Initial capital- 100000
🎴Base currency USD💵
👉🏻Order size: 25% of equity
👉🏻Pyramiding: 1
🎴 COST SIMULATION:
👉🏻Commission: 0.05
🎴MARGIN:
👉🏻Margin for long positions: 25%
👉🏻Margin for short positions: 25%
🎴RECALCULATE:
👉🏻 After order is filled:✅
👉🏻On every tick:✅
🎴FILL ORDERS:
👉🏻On bar close:✅
👉🏻 Using standard OHLC✅
8/200 EMA Cross by JelloStaxxBuy/Sell Signals
Use alongside other indicators like EMA crosses, RSI, MACD, or trend-based systems.
Ideal for confirmation: When a setup appears on another system, a volume bar breaking into higher threshold zones (Color 3 or Color 4) can confirm strong momentum or warn of exhaustion.
Not a standalone signal generator — best when combined with price action, support/resistance levels, or other technical analysis tools.
Great for scalpers and day traders working on smaller timeframes (like 1-min to 15-min charts) to quickly identify market participation shifts.
WREKS Theory📊 WREKS Theory – Advanced Market Structure & Auto-Fibonacci Indicator
By WREKS Trading Community
📊 WREKS Theory – Advanced Market Structure & Auto-Fibonacci Indicator
By WREKS Trading Community
✅ Overview
The WREKS Theory indicator is a robust, all-in-one technical analysis tool designed to identify trend direction, generate buy/sell signals, and project key Fibonacci levels for precision trading. It merges the logic of Dow Theory (Higher Highs & Higher Lows), SMA filtering, and automated Fibonacci clusters based on ZigZag pivots to highlight optimal price zones for entry, reversal, and take-profit.
🧠 Built-in Logic
Dow Theory Engine: Detects confirmed uptrends and downtrends based on recent pivot highs and lows.
SMA-144 Filter: Confirms signal strength by filtering trades aligned with the dominant trend.
ZigZag-based Auto-Fibonacci: Dynamically maps Fibonacci retracement and extension levels from the most recent swing, with color-coded visual lines and labels.
Signal Dashboard: Displays trend change counts (Uptrends / Downtrends) and real-time status in a clean table on the chart.
Smart Alerts: Triggers when buy/sell signals occur or when price crosses Fibonacci levels.
📌 Key Features
🔺 Buy / Sell Markers: Auto-labeled on the chart using real-time trend shift confirmation.
📈 Fibonacci Cluster Map: Automatically draws up to 22 customizable Fib levels including negative retracements and advanced extensions (0.236 to 4.618+).
🎯 Trend Labels: Clearly marks “Uptrend” and “Downtrend” zones.
💡 Visual Table: Quick reference for signal frequency and trend transitions.
🔔 Alerts: Built-in alerts for trade signals and price interactions with Fib levels.
⚙️ Fully Customizable: Modify SMA, pivot length, depth, deviation multiplier, line extension style, color themes, and more.
📈 Benefits for Traders
✅ Enhanced Trend Confirmation using Dow Theory logic with SMA filtering.
✅ Precision Entry & Exit Zones through auto-drawn Fibonacci retracement and extension levels.
✅ Reduces False Signals by requiring both market structure and trend alignment.
✅ Saves Time with automated drawing and real-time alerts.
✅ Ideal for All Assets & Timeframes: Works seamlessly across Forex, Crypto, Stocks, and Commodities.
💼 Best Use Cases
Intraday & swing trading using market structure.
Identifying major retracement zones for pullback entries.
Recognizing Fibonacci confluence zones to set stop-loss and take-profit levels.
Trend-following strategies validated by SMA and Dow confirmation.
RTB - Momentum Breakout Strategy V3
📈 RTB - Momentum Breakout Strategy V3 is a directional breakout strategy based on momentum. It combines exponential moving averages (EMAs), RSI, and recent support/resistance levels to detect breakout entries with trend confirmation. The system includes dynamic risk management using ATR-based stop-loss and trailing stop levels. Webhook alerts are supported for external automated trading integrations.
🔎 The strategy was backtested using default parameters on BTCUSDT Futures (Bybit) with 4-hour timeframe and a 0.05% commission per trade.
⚠️ This script is for educational purposes only and does not constitute financial advice. Always do your own research before trading.
Scalper StrategyScalper Strategy Documentation
A comprehensive, multi-indicator scalping system for TradingView. This strategy combines trend, momentum, volatility, and volume filters to identify high-probability entries and exits, and restricts trades to user-defined time slots for optimal performance.
1. Core Concept
This strategy aims to capture short, strong price movements by requiring multiple technical signals to align before entering a trade. It is highly configurable, allowing users to adjust indicator settings, risk management parameters, and trading time windows.
2. Key Components
Trend and Price Filters
Heikin Ashi Candles, Linear Regression (3 periods), McGinley Dynamic (2 periods), EMA Bands, and HMA are used to clarify and confirm trend direction. Momentum and Oscillator Filters
RSI (2 periods), MACD (2 sets), and SMI (Stochastic Momentum Index) confirm momentum and trend changes. Volatility and Strength Filters
ATR (Average True Range) with ADX ensures trades are only taken during periods of sufficient volatility and trend strength. Volume-Weighted Candle Strength
Calculates the volume-weighted body size of bullish and bearish candles over a user-defined lookback period to confirm the strength of the current move. Chandelier Exit
Uses ATR-based stop levels to help determine trend direction and manage exits dynamically.
3. Entry and Exit Logic
Long (Buy) Entry: All of the following must be true: Trend filters confirm an uptrend. Momentum filters confirm bullish momentum. Volatility and trend strength filters are positive. Volume-weighted bullish candle strength is present. Current time is within one of the three user-defined time slots. Short (Sell) Entry: The opposite of the above, with all filters confirming a downtrend and bearish momentum. Long Exit: Triggered by a combination of opposite signals from the filters or by hitting a stop loss or take profit (if enabled). Short Exit: The opposite logic, or hitting stop loss/take profit.
4. Time Slot Filter
Restricts trade entries to three user-defined time windows (e.g., 09:15–10:30, 13:00–14:00, 15:00–15:30). Users set the start and end times for each slot in the strategy settings. Trades are only entered if the current time falls within any of the active slots.
5. Risk Management
Stop Loss and Take Profit: Configurable as a percentage of entry price. Can be enabled or disabled. Position Sizing: By default, uses 100% of equity per trade (adjustable in settings).
6. Alerts and Visualization
Alerts: The strategy can trigger alerts for entries, exits, stop loss, and take profit events. Plotting: Visual signals (labels) are plotted on the chart for all major events, and background colors indicate trend direction.
7. How to Use
Add the strategy to your TradingView chart. Configure indicator and filter settings as desired in the strategy's input panel. Set your preferred time slots for trading. Enable or disable stop loss and take profit as needed. Monitor the chart for signals and alerts. Review performance in the TradingView strategy tester.
8. Notes and Best Practices
Backtest thoroughly on your chosen market and timeframe before live trading. Adjust time slots to match periods of high liquidity for your instrument. Fine-tune indicator settings for your asset and trading style. Use proper risk management and never risk more than you can afford to lose.
9. Disclaimer
This strategy is for educational purposes only. Past performance does not guarantee future results. Use at your own risk.
Advanced Volume Thresholds by JelloStaxxAdvanced Volume Thresholds by JelloStaxx
Advanced Volume Thresholds by JelloStaxx is a powerful volume visualization tool designed to highlight important shifts in market participation.
It dynamically color-codes volume bars based on how they perform relative to a customizable moving average (SMA or EMA) multiplied by adjustable thresholds.
How it works:
A moving average of volume (user-selectable SMA or EMA) is calculated over a user-defined length.
Three customizable multipliers create threshold levels above the moving average.
Volume bars automatically change color depending on which threshold zone they fall into, helping you instantly spot significant volume changes.
All colors and styles are fully adjustable in the Style tab to match your personal chart setup.
📈 Recommended Usage:
Best used with other indicators for confirmation.
Combine this tool with EMA crosses, RSI, MACD, or trend-following strategies to validate entries or exits.
Great for detecting strength behind price moves:
High-volume confirmation adds conviction to breakouts, trend continuations, and reversals.
Not a standalone signal generator:
It is a powerful visual aid to strengthen your trading edge when paired with solid technical analysis.
Works especially well on shorter timeframes (1-min to 15-min) for intraday and scalping strategies.
🎯 Summary:
This indicator is designed to complement your existing strategy — not replace it.
Advanced Volume Thresholds by JelloStaxx gives you a quick visual reference for real market strength, helping you make faster and more confident trading decisions.
EMA 21/50/89/200 + Alerts by KayTradesForexEMA 21/50/89/200 with Cross Alerts
This indicator plots four key Exponential Moving Averages (EMAs) – 21, 50, 89, and 200 – directly on the price chart to help traders identify trend direction, momentum shifts, and key support/resistance zones.
Main Features:
EMA 21 (green line)
EMA 50 (blue line)
EMA 89 (orange line)
EMA 200 (red line)
Clear cross alerts between:
EMA 21 and EMA 50
EMA 50 and EMA 89
EMA 89 and EMA 200
Use Cases:
Spot early trend reversals and momentum shifts through EMA crossovers.
Confirm trend strength using the alignment of multiple EMAs.
Identify dynamic support and resistance areas based on major EMAs.
Receive real-time alerts for bullish and bearish crossovers.
Recommended Usage:
EMA 21 and EMA 50 cross: Short-term trend shifts.
EMA 50 and EMA 89 cross: Medium-term trend changes.
EMA 89 and EMA 200 cross: Major long-term trend confirmation.
Tip: Combine this indicator with price action analysis or higher timeframe confirmation for more robust trading setups.
Designed for traders who want to catch momentum shifts earlier and ride strong trends longer by using a multi-EMA system with smart alerts.
MovingAvg2Line with Filter & Directional Close在第二組均線的限制條件下讓第一組均線觸發買賣訊號。
Trigger buy and sell signals from the first set of moving averages under the constraint conditions of the second set of moving averages.
Alpha Breakout Dashboard™This script identifies intraday breakout trading opportunities on the Nifty (or any other instrument), using technical indicators like EMA, VWAP, and recent highs/lows, and displays clean buy/sell signals along with a top-right dashboard showing live trade status and Risk:Reward (RR).
Core Logic
1. Breakout Detection
A Bullish Breakout occurs when:
Price breaks above the highest high of the past N bars (excluding the current bar).
Price is above the 20 EMA and VWAP.
A Bearish Breakout occurs when:
Price breaks below the lowest low of the past N bars.
Price is below the 20 EMA and VWAP.
These conditions are configurable via inputs.
2. Trend Filter (Optional)
When enabled, long entries are only allowed if the price is above EMA and VWAP, and short entries if it's below.
This helps align trades with the dominant market trend.
3. Trade Entry & Tracking
Once a breakout is detected:
A Buy/Sell signal is plotted on the chart.
The script sets an entry price , a stoploss (with a buffer), and a target based on a fixed Risk:Reward Ratio (default 2:1).
The script keeps track of whether a long or short trade is currently active.
4. Live Risk:Reward Calculation
While in a trade:
The Live RR is updated on each candle.
RR is calculated dynamically using the latest close, stoploss, and target.
If no trade is active, RR shows “Waiting...”.
5. Dashboard Panel (Top-Right Corner)
Shows:
Current Trend: Bullish 🟢 / Bearish 🔴 / Neutral ⚪
Entry Price: Shows real-time entry or "Waiting..."
Live RR: Dynamic Risk:Reward ratio or "Waiting..."
6. Visuals
Signals: Clearly marked BUY (green label) or SELL (red label).
EMA & VWAP: Plotted for trend context.
No SL/TP lines: Chart remains clean.
7. Alerts
Alerts are triggered on new Buy/Sell signals.
Alert conditions are also defined for use in TradingView alert setup.
Customization Options
EMA Length
Breakout Lookback Bars
Stoploss Buffer (in points)
Risk:Reward Ratio
Trend Filter On/Off
Ideal Use
For intraday traders looking to catch strong breakouts in trending conditions.
Best used on 5min to 15min charts.
Can be paired with volume or momentum indicators.
EMA Crossover Strategy with AlertsEMA Crossover Strategy with Alerts
Overview
The EMA Crossover Strategy is a popular trend-following trading strategy that utilizes two Exponential Moving Averages (EMAs) to identify potential buy and sell signals. This strategy is designed to help traders capture significant market trends by generating alerts when a crossover or crossunder occurs between the short-term and long-term EMAs.
Strategy Details
Short EMA Length: 9 periods
Long EMA Length: 21 periods
How It Works
Calculation of EMAs:
The strategy calculates two EMAs: a short-term EMA (9 periods) and a long-term EMA (21 periods).
Crossover and Crossunder Conditions:
Crossover Condition: A buy signal is generated when the short-term EMA crosses above the long-term EMA.
Crossunder Condition: A sell signal is generated when the short-term EMA crosses below the long-term EMA.
Buy and Sell Signals:
Buy Signal: Plotted below the bar with a green label when the crossover condition is met.
Sell Signal: Plotted above the bar with a red label when the crossunder condition is met.
Alerts:
Alerts are set up to notify traders when a buy or sell signal is generated:
Buy Alert: Triggered when the short-term EMA crosses above the long-term EMA.
Sell Alert: Triggered when the short-term EMA crosses below the long-term EMA.
Strategy Execution:
Buy Entry: The strategy enters a long position when the buy condition is met.
Sell Entry: The strategy enters a short position when the sell condition is met.
Benefits
Trend Identification: Helps traders identify and follow strong market trends.
Clear Signals: Provides clear buy and sell signals based on EMA crossovers.
Alerts: Keeps traders informed with real-time alerts for buy and sell signals.
Usage
This strategy is suitable for various markets and timeframes. Traders can customize the EMA lengths to fit their specific trading style and market conditions.
Dilpreet PBDilpreet PB Strategy Overview:
Indicator Used: Parabolic SAR (PSAR)
Entry Conditions:
Buy Signal: When the PSAR indicator switches from above the price to below the price (indicating an uptrend).
Sell Signal: When the PSAR indicator switches from below the price to above the price (indicating a downtrend).
Stop-Loss (SL):
The stop-loss is set to the low of the candle on which a buy signal is triggered, plus a buffer of 10 points.
For a sell trade, the stop-loss is set to the high of the candle on which the sell signal is triggered, minus a buffer of 10 points.
Take-Profit (TP):
A take-profit level is set at 40 points from the entry price (either above for a buy trade or below for a sell trade).
Trade Execution:
Buy Trade: Executed when a buy signal appears, with a stop-loss and take-profit as defined.
Sell Trade: Executed when a sell signal appears, with a stop-loss and take-profit as defined.
Key Points:
Stop-Loss Buffer: Ensures that the stop-loss is not too tight and allows some market fluctuation.
Take-Profit Level: A fixed target to lock in profits once the price reaches a certain point.
PSAR Indicator: Helps identify the trend direction and potential reversal points.
Opening Range High/Low with VWAP and EMAsopenrange high low, and the range adjusts as day progresses, VWap with Ema 9 @ chart time frame, 5min and 15mins, cross over of ema and vwap can be used as guide for intraday trades
Sessions + Confirmed Trend + Volume + Alerts + StochRSIInstructions for using the "Sessions + Trend Confirmed + Volume + Alerts + TP1/TP2/TP3 + SL + StochRSI Confirm" indicator
This indicator is designed to help identify trading sessions (Asian, European, American), confirm trends using the HMA (Hull Moving Average), analyze trading volume, generate buy/sell signals, and apply TP (Take Profit) and SL (Stop Loss) levels to charts.
Basic settings: After the indicator is added to the chart, you will notice a settings panel on the left. Here you can change the indicator settings according to your preferences:
Trading sessions:
Show Asian Session: You can enable or disable the display of the Asian session on the chart.
Show European Session: You can enable or disable the display of the European session on the chart.
Show American Session: You can enable or disable the display of the American session on the chart.
TP/SL Settings:
Show TP1/TP2/TP3 and SL: Enable or disable the display of TP and SL levels on the chart.
TP1 %, TP2 %, TP3 %: Set the profit percentage for each TP (Take Profit) level.
Stop Loss %: Set the percentage for the Stop Loss.
TP/SL Line Duration (bars): Adjust the duration for which the TP/SL lines will remain on the chart.
HMA Settings:
Fast HMA Period: Adjust the period for the fast HMA (recommended: 9-14 for small timeframes, 14-21 for large timeframes).
Slow HMA Period: Adjust the period for the slow HMA (recommended: 21-50 for large timeframes).
Volume Settings:
Volume Multiplier: Adjust the volume multiplier to filter out large volumes. (Recommendation: 1.5-2.0 for high volatility, 1.2-1.5 for more stable markets).
Additional Confirmations:
Volume Confirmation: Enable or disable confirmation of trading signals based on volume.
Stochastic RSI Confirmation: Enable or disable confirmation of signals based on Stochastic RSI.
2. How the indicator works:
Trading Sessions: The indicator will color the chart background according to the active session (Asia, Europe or USA), to give you a clear view of the trading periods.
Asia: Blue background
Europe: Light blue background
USA: Red background
Buy/Sell signals: The indicator will display trading signals on the chart based on the following conditions:
Buy signal (BUY): When the fast HMA (blue) crosses the slow HMA (orange) in the upward direction and the volume and Stochastic RSI confirmation conditions are met (if these confirmations are enabled).
Sell signal (SELL): When the fast HMA (blue) crosses the slow HMA (orange) in the downward direction and the volume and Stochastic RSI confirmation conditions are met (if these confirmations are enabled).
These signals will appear as green (BUY) and red (SELL) labels on the chart.
TP and SL levels: After a valid trading signal (BUY/SELL), the indicator will place TP1, TP2, TP3 and SL levels to guide you in managing your position. Lines will be drawn on the chart to show the price levels at which you could close the position for profit or limit losses.
Volume: The indicator analyzes the trading volume. If the current volume exceeds the moving average over a period of 20 bars (or other custom period), it will consider this volume as significant (HIGH VOLUME). If the volume is not significant, it will be marked as LOW VOLUME.
Stochastic RSI: The indicator calculates and uses Stochastic RSI to confirm buy/sell signals:
Buy confirmation: Stochastic RSI is below 20 and the K line (fast curve) exceeds the D line (slow curve).
Sell confirmation: Stochastic RSI is above 80 and the K line is below the D line.
This helps to avoid false signals and increase the accuracy of the signals.
3. Alert in TradingView:
To enable alerts in TradingView based on buy and sell signals:
After the indicator is added to the chart, click on the "Alerts" button at the top of TradingView.
Select the desired conditions, for example:
"BUY ALERT" to receive a notification when a buy signal is generated.
"SELL ALERT" to receive a notification when a sell signal is generated.
4. Additional customization:
You can adjust the parameters of the indicators (HMA, RSI, Stochastic RSI) according to your needs or different financial instruments. For example, for BTC, you could use a shorter fast HMA, while for EUR/USD you can use a longer HMA to reflect the different volatility.
You can change the length of the TP/SL lines to make them more visible or reduce them if you don't want them to stay on the chart for too long.
To adjust the indicators according to each timeframe, I will provide you with the recommended settings for each specific timeframe for both instruments, BTC and EUR/USD.
Recommended settings for each timeframe:
1-Minute (1m):
BTC:
Fast HMA: 7
Slow HMA: 14
RSI: 7
Stochastic RSI: 7, 3, 3
Volume: Use a higher volume multiplier, e.g. 1.5.
EUR/USD:
Fast HMA: 9
Slow HMA: 18
RSI: 7
Stochastic RSI: 7, 3, 3
Volume: Use a lower volume multiplier, e.g. 1.2.
5-Minute (5m):
BTC:
Fast HMA: 9
Slow HMA: 18
RSI: 14
Stochastic RSI: 14, 3, 3
Volume: 1.5 - 2.
EUR/USD:
Fast HMA: 12
Slow HMA: 24
RSI: 14
Stochastic RSI: 14, 3, 3
Volume: 1.2.
15-Minute (15m):
BTC:
Fast HMA: 9
Slow HMA: 21
RSI: 14
Stochastic RSI: 14, 3, 3
Volume: 1.5 - 2.
EUR/USD:
Fast HMA: 14
Slow HMA: 28
RSI: 14
Stochastic RSI: 14, 3, 3
Volume: 1.2.
1-Hour (1h):
BTC:
Fast HMA: 14
Slow HMA: 28
RSI: 14
Stochastic RSI: 14, 3, 3
Volume: 1.5 - 2.
EUR/USD:
Fast HMA: 18
Slow HMA: 36
RSI: 14
Stochastic RSI: 14, 3, 3
Volume: 1.2.
4-Hour (4h):
BTC:
Fast HMA: 18
Slow HMA: 36
RSI: 14
Stochastic RSI: 14, 3, 3
Volume: 1.5 - 2.
EUR/USD:
Fast HMA: 21
Slow HMA: 42
RSI: 14
Stochastic RSI: 14, 3, 3
Volume: 1.2.
1-Day (1d):
BTC:
Fast HMA: 21
Slow HMA: 50
RSI: 14
Stochastic RSI: 14, 3, 3
Volume: 1.5 - 2.
EUR/USD:
Fast HMA: 28
Slow HMA: 56
RSI: 14
Stochastic RSI: 14, 3, 3
Volume: 1.2.
1-Week (1w):
BTC:
Fast HMA: 28
Slow HMA: 56
RSI: 14
Stochastic RSI: 14, 3, 3
Volume: 1.5 - 2.
EUR/USD:
Fast HMA: 42
Slow HMA: 84
RSI: 14
Stochastic RSI: 14, 3, 3
Volume: 1.2.