JXMJXRS - Momentum Decay Analysis [MDA]Momentum Decay Analysis is a novel indicator that measures how quickly momentum fades after significant price impulses. Rather than measuring momentum at a single point in time like traditional oscillators, MDA tracks the decay behavior of momentum over subsequent bars, providing insight into whether a move has continuation strength or is exhausting.
The Concept
Every impulse move eventually loses steam. The rate at which this happens tells you a lot about the quality of the move:
Slow decay suggests strong underlying conviction and higher probability of continuation
Fast decay indicates weak momentum that is likely to reverse or consolidate
Accelerating decay warns of exhaustion setting in
Decelerating decay signals momentum may be rebuilding
This concept borrows from physics, specifically the mathematics of exponential decay and half-life calculations used in fields like nuclear physics and pharmacology.
How It Works
The indicator detects impulse moves using a standard deviation threshold above average momentum
After each impulse, it tracks how the momentum magnitude changes over subsequent bars
Using exponential regression, it calculates the decay constant and derives a half-life value
These metrics combine into a single Decay Health score that drives the visual output
Reading the Indicator
The indicator displays as a dynamic EMA line with expanding and contracting bands:
Green coloring indicates healthy momentum with slow decay, suggesting continuation
Gray coloring indicates normal decay, a neutral state
Red coloring indicates rapid decay and potential exhaustion
Band width reflects the decay health. Wider bands suggest stronger, more sustained momentum. Narrower bands indicate weakening momentum.
Small diamond markers appear when new impulses are detected. Green diamonds below price mark bullish impulses. Red diamonds above price mark bearish impulses.
Settings
Impulse Detection Length: Lookback period for calculating average momentum and standard deviation
Decay Measurement Window: Number of bars over which decay is measured after an impulse
Impulse Threshold: How many standard deviations above average qualifies as an impulse
Smoothing: Smoothing applied to the final decay health output
Band Width: Multiplier controlling the width of the bands
Base EMA Length: Period for the central EMA line
Display toggles allow you to show or hide the band fill, impulse signals, and info table.
Use Cases
Identifying when a strong move is losing steam before price reverses
Confirming breakouts by checking if momentum decay is healthy
Filtering entries by only trading when decay health supports your direction
Spotting divergences between price action and momentum sustainability
Timeframes
This indicator works on any timeframe but is designed primarily for 1 hour and above. Higher timeframes generally produce cleaner signals with less noise.
Notes
This indicator is intended as an analytical tool to supplement your existing strategy. It does not provide explicit buy or sell signals. No indicator guarantees profitable results. Always use proper risk management and confirm signals with price action and other forms of analysis.
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Plain and Simple ProPlain and Simple Pro™ Trading Indicator
Overview
Plain and Simple Pro is a comprehensive technical analysis indicator for TradingView that combines multiple trading strategies and visual tools to help identify market opportunities. It uses proprietary smoothing algorithms and volatility-based bands to generate trading signals across different timeframes and market conditions.
Core Components
1. Primary Signal System
Utilizes a custom smoothing algorithm that adapts to market volatility
Displays dynamic support and resistance levels
Color-coded trend visualization (uptrend, downtrend, neutral)
Bullish and bearish zone fills for clearer market structure identification
2. Volatility Band System
Four-tier volatility bands based on ATR (Average True Range)
Uses Fibonacci-based multipliers (0.618, 1.236, 2.618, 4.236)
Generates entry signals when bands crossover:
Long/Short Entry Signals: Band 1-2 crossovers for regular trades
Major Long/Short Signals: Band 3-4 crossovers for significant moves
Optional Heikin Ashi smoothing for cleaner signals
3. Performance Dashboard
Tracks two distinct trading strategies in real-time:
Aggressive Signal Strategy: Fast-moving momentum-based approach
Shows current position (LONG/SHORT/NEUTRAL)
Displays unrealized P&L for active positions
Balanced Strategy: Trend-following system with dynamic moving average
More conservative positioning
Real-time P&L tracking
Dashboard is fully customizable (position, size, visibility)
4. Market Structure Analysis
Order Blocks: Identifies institutional buying/selling zones
Bullish order blocks (demand zones)
Bearish order blocks (supply zones)
Automatically removes invalidated blocks
Trend Lines: Automatically drawn support and resistance trendlines
Uses pivot point detection
Validates slope direction
Extends in real-time
Key Features
Customization Options
Complete color customization for all visual elements
Toggle individual components on/off
Adjustable dashboard position and size
Configurable number of order blocks displayed (1-10)
Trend line sensitivity adjustment
Signal Types
Small triangular markers for regular entry signals
Labeled alerts for major trade opportunities
Visual zone fills to highlight key price areas
Real-time position and P&L tracking
Technical Approach
Multi-timeframe analysis capability
Adaptive algorithms that respond to market volatility
Combines momentum, trend-following, and structure-based analysis
Uses both price action and mathematical indicators
Use Cases
Day Trading: Quick entry/exit signals via band crossovers
Swing Trading: Order blocks and trend lines for position entries
Risk Management: Visual zones help identify stop-loss levels
Strategy Testing: Built-in P&L dashboard for strategy evaluation
Visual Elements
Clean, modern interface with customizable colors
Semi-transparent zone fills for clarity
Multiple layers of information without chart clutter
Professional-grade visual presentation
This indicator is designed for traders who want a comprehensive, all-in-one solution that combines technical analysis, signal generation, and performance tracking in a single, customizable package.
Stock Expansion Pullback Screener (v6)Recommended Stock Settings for the Intraday momentum stocks:
➡️ Timeframe: 15m
➡️ ATR Mult: 1.3
➡️ Max bars: 10–15
➡️ Swing trading
➡️ Timeframe: 1H / 4H
➡️ ATR Mult: 1.5
➡️ Max bars: 20–30
SOL Short EMA165 Failed ReclaimThis script identifies short opportunities on SOL when price attempts to reclaim the EMA 165 but fails.
A signal is generated when price trades above the EMA 165 and then closes back below it on the selected timeframe.
The script plots the EMA 165 and triggers an alert() for use with external execution (e.g. Bitget signal bots).
Designed for reliability and clean alert execution.
Scalp Sculpture PRO🟦1 Overview
Scalp Sculpture PRO is a professional-grade multi-timeframe market alignment system engineered for traders who require structure, consistency, and contextual awareness before executing any trade. Rather than focusing on isolated price movements or short-term patterns, the system provides a comprehensive view of market structure by evaluating how different timeframe layers interact with one another. Its primary purpose is to reduce randomness in decision-making by enforcing directional coherence across timeframes.
Unlike conventional indicators that attempt to generate frequent entry signals, Scalp Sculpture PRO acts as a structural filter. It helps traders determine whether current market conditions are favorable, unfavorable, or unclear, allowing them to participate selectively instead of reacting emotionally to every price fluctuation.
🟦2 Concepts
Markets are not random on all levels simultaneously. Higher timeframes tend to reflect broader participation, capital flow, and institutional positioning, while lower timeframes express short-term volatility and execution noise. Scalp Sculpture PRO is built on the foundational concept that trading against higher-timeframe structure significantly increases uncertainty.
The system separates market analysis into layers: a macro layer that defines dominant direction, a normal layer that confirms structural continuity, and an optional fast layer that reflects short-term execution conditions. By evaluating these layers independently and then combining them into a unified structural state, the indicator provides clarity on whether conditions are aligned or fragmented.
🟦3 Features
• Multi-timeframe structural alignment across slow, normal, and fast timeframes
• Objective identification of bullish, bearish, or neutral market states
• Visual matrix summarizing alignment conditions at a glance
• Optional fast execution layer for active and intraday traders
• Candle-state visualization reinforcing structural bias directly on price
• Percent-based oscillator logic ensuring consistency across all markets
• Repaint control via candle-close confirmation for disciplined analysis
• Designed to work across all markets and all timeframes
🟦4 Customization
Scalp Sculpture PRO offers extensive customization while preserving its core logic. Users can define their preferred macro, normal, and fast timeframes, adjust moving average lengths and types, and enable or disable specific layers depending on trading style. Visual components such as fills, candle coloring, matrix visibility, and background cues can be tailored to individual preferences without altering the structural integrity of the system.
This flexibility allows the same indicator to support multiple use cases, from conservative higher-timeframe analysis to more active execution-oriented workflows, while maintaining a consistent analytical foundation.
🟦5 Usage Guidance
This tool is not intended to predict price movements or replace a trader’s execution strategy. Instead, it provides contextual awareness that helps traders avoid operating in structurally unfavorable conditions. Higher timeframes deliver cleaner and more reliable information but react more slowly, while lower timeframes respond faster but contain significantly more noise.
Scalp Sculpture PRO is most effective when used as a filter before execution. Traders are encouraged to act only when alignment is present and to remain patient during mixed or neutral conditions, where uncertainty is elevated.
🟦6 Example Scenario
A trader observes that the macro timeframe indicates a bullish structural bias, while the normal timeframe confirms continuation rather than reversal. The fast layer is monitored for execution timing, but trades are only considered while alignment remains intact. If the fast layer becomes noisy or alignment breaks, the trader refrains from acting, preserving discipline and capital rather than forcing participation.
🟦7 Settings Breakdown
• Macro (slow) timeframe selection to define dominant structure
• Normal timeframe for confirmation of trend continuity
• Optional fast timeframe for execution context
• Adjustable moving average lengths and calculation types
• Enable or disable fast layer based on trading style
• Candle-close confirmation toggle to control repaint behavior
• Visual matrix display for structural awareness
• Candle coloring and background cues for immediate context
🟦8 Conclusion
Scalp Sculpture PRO is designed for traders who value clarity over excitement and structure over speculation. By enforcing multi-timeframe alignment and reducing exposure to contradictory conditions, it supports a disciplined, professional approach to market participation. The system does not promise certainty, but it helps traders consistently operate within higher-probability structural environments.
🟦9 Disclaimer
Scalp Sculpture PRO is provided for educational and analytical purposes only. It does not constitute financial advice or trade recommendations. Trading and investing involve risk, and all decisions and risk management responsibilities remain solely with the user.
EMA 8 & EMA 21Momentum change is calculated using two different exponential moving averages (8 and 21), and the values are shown with green (8 EMA) and red (21 EMA) lines.
When the price is above the 8 and 21 EMAs, and both EMA lines are pointing upwards, an increase in volume signals that the price may rise.
Don't forget to use a stop-loss order when trading.
NQ Scalp EMA Reclaim EMA Momentum Pullback Indicator
What it does (typical EMA method used for momentum trading):
Trend filter: Fast EMA above Slow EMA = bullish bias; below = bearish bias
Entry: In bullish bias, wait for a pullback to the EMA “zone”, then a reclaim candle → BUY
In bearish bias, pullback into zone then rejection → SELL
Optional 200 EMA filter (only take longs above 200, shorts below 200)
SMA Indicator Signals [MK]Overview
The SMA Indicator Signals indicator is designed to identify high-probability trend-following entries using a dual SMA system and RSI filtering. Unlike traditional crossover indicators that rely on ta.crossover (which often fails during volatile market gaps), this script uses state-based logic to capture signals even when the price "jumps" over the moving average.
The "Gap-Over" Problem Solved
In fast-moving markets or at market open, price often gaps significantly. If the price opens above the SMA 20 after being below it, a standard indicator usually misses the signal because no "physical" cross occurred on the chart.
This indicator compares the current state to the previous state. If the price is now above the SMA while previously being below, the signal triggers regardless of the gap.
Key Features
Persistent Signals: Unlike strategies that hide signals while a trade is active, this indicator plots an icon for every valid occurrence, allowing you to scale into positions or identify secondary entries.
Trend-Filtered: Long signals only appear when the 20 SMA is above the 50 SMA (and vice-versa for shorts).
RSI Guardrail: Built-in RSI logic prevents you from chasing "Longs" into overbought territory or "Shorts" into oversold conditions.
Universal Alerts: Includes pre-configured alertcondition calls for Longs, Shorts, or both.
How to Trade it
The Signal: Look for the Green (Long) or Red (Short) triangles.
User Discretion: Since this version removes automated ADX/Expansion filters, the trader should look at the "width" of the gap between the Blue (20) and Orange (50) SMAs. Wider gaps usually indicate stronger momentum.
Alerts: Create an alert and select "Any SSMA Signal" to be notified on your phone or desktop the moment a setup forms.
Settings
Fast SMA (20): Your primary trigger line.
Slow SMA (50): Your primary trend filter.
RSI Thresholds: Customize how "early" or "late" you want to be filtered out of a move based on momentum.
EMA Candle Color with VWAP & Glow EffectKey Features:
Colored Candles - Candles automatically change color based on price position relative to the primary EMA (green above, red below)
Dual EMA System - Two fully customizable EMAs (default 21 & 50) for trend identification and multi-timeframe analysis
VWAP with Glow Effect - Volume-weighted average price with an optional visual glow effect for enhanced visibility and importance emphasis
Buy/Sell Signals - Automatic triangle markers when price crosses above (buy) or below (sell) the primary EMA
Fully Customizable - All colors, lengths, and display options can be adjusted to suit your trading style
Alert Ready - Built-in alert conditions for EMA crossovers
Settings:
Primary EMA Length (default: 21)
Secondary EMA Length (default: 50)
VWAP with adjustable glow intensity (1-5)
Individual on/off toggles for all components
Custom color schemes for all elements
Best Use Cases:
Trend identification and confirmation
Entry/exit signal generation
Multi-timeframe analysis
Volume-weighted support/resistance levels
Note: This indicator works on all timeframes and asset classes. Adjust EMA lengths based on your trading style (shorter for scalping, longer for swing trading).
Maybe/probably ignore sell signals when both EMA/s above VWAP etc
Let go!!!!
MACD Matrix: Angle & SettlementThis indicator is a comprehensive Multi-Timeframe (MTF) Dashboard designed for technical traders who rely on MACD not just for crossovers, but for Momentum Angle and Settlement (Hooks).
Instead of cluttering your screen with 5 different MACD charts, this Matrix calculates the math in the background and presents a clean "Heads-Up Display" of the MACD state across your specific timeframes (Default: 3m, 15m, 1h, 4h, 16h).
The Concept: "Angle Settlement"
Standard MACD indicators only show you when a cross happens. By then, the move is often halfway over. This script focuses on the Angle (Slope) of the MACD line to predict turns before they happen:
Steep Angle: Momentum is accelerating. (Strong Trend)
Settling Angle: The slope is flattening out. The MACD line is "hooking." (Reversal/Cross Imminent)
Dashboard Columns Explained
TF (Timeframe): Auto-formats your settings into readable text (e.g., "240" becomes "4h").
Zone:
> 0 (Green): MACD is above the Zero Line (Bullish Trend context).
< 0 (Red): MACD is below the Zero Line (Bearish Trend context).
Cross:
PCO (Green): Positive Crossover (MACD > Signal).
NCO (Red): Negative Crossover (MACD < Signal).
Deg (°):
The calculated mathematical angle of the MACD line.
Positive (+): Momentum is rising.
Negative (-): Momentum is falling.
State (The Strategy):
STEEP (Bright Color): The angle is increasing. Do not trade against this momentum.
SETTLE (Dim Color): The angle is decreasing compared to the previous bar. The momentum is "cooling off," often signaling a "Hook" or an upcoming crossover.
Settings & Customization
Custom Timeframes: You can freely change TF-1, TF-2, etc., in the settings. The table labels will auto-update (e.g., if you change 4h to 1D, the table will display "1D").
MACD Lengths: Fully customizable (Default 12, 26, 9).
Angle Sensitivity: A multiplier to calibrate the "Degrees" to your specific asset class (Crypto, Forex, or Indices). If angles look too small, increase this value.
Sequential Triple MA Signal System (RVWAP + Clean Signals)9/21 + RVWAP Crossovers
This is meant to scalp on the m5 timeframe, I didn't test it for others.
Every time we get a close above/below 9/21EMA + RVWAP, we enter a long/short.
The arrows reset with an anti-spam regime so it doesn't crowd too much on consolidations, however it is not perfect, as too strict measures would block reversal candles.
Our goal is to capture big moves on the m5 and trail them with a stop. This method offers very tight entries with stops below the entry candle or the prev. candles wick.
I've backtested this logic on 6 months of data and it was profitable, depending on fees/spread you can get at your broker.
This is just the pine version of it that I made with GPT, I use an algo to trade this automatically for me.
Other Notes:
- This works best in a trending context - know your HTF context
- The longer the consolidations, the clearer the breakouts/breakdowns
- Liquidity sweeps before crossovers work well
- The higher the Distance from price to 9/21 ema during the crossover, the more likely a trend-breakout is to ensure
Never trade stuff without testing before, discover behavioural patterns and you'll see a fine strategy with potential for profits.
The net R for every trade in my backtest was .6R after fees.
TradingIndicator Academy TIA - Pro Scalping System
Beschrijving:
Deze indicator is een geavanceerde scalping tool, specifiek ontwikkeld voor geautomatiseerde Bybit futures trading. De strategie is ontworpen om snelle prijs-reversals ("wicks") te vangen die buiten de standaard deviatie van de VWMA (Volume Weighted Moving Average) vallen.
Het script combineert visuele analyse met volledige webhook-automatisering, waardoor handmatige fouten worden geëlimineerd en trades direct via JSON-commando's worden uitgevoerd.
🚀 Belangrijkste Kenmerken:
⚡ Wick Entry Strategie: Signalen worden gegenereerd wanneer de prijs (High/Low) agressief door de VWMA bands breekt. Dit duidt vaak op liquidaties of overreacties van de markt, gevolgd door een snelle correctie.
🤖 Volledige Automatisering: Ingebouwde, kant-en-klare JSON-alerts voor trading bots. Het script genereert automatisch payloads met side, size, leverage, en unieke UUIDs voor foutloze executie.
👁️ Smart Visuals:
Dynamische TP/SL Boxen: Zodra een positie opent, toont de chart direct de Take Profit (groen) en Stop Loss (rood) zones. Deze boxen updaten real-time mee met de candle, zodat je altijd ziet waar je staat.
Live Dashboard: Een tabel rechtsboven toont de actuele status van de bot, entry prijs, en targets.
🛡️ Risk Management: Ingebouwde (instelbare) logic voor Stoploss (standaard 2.5%) en Takeprofit (0.75%), visueel weergegeven om direct je Risk/Reward te beoordelen.
🛠️ Hoe te gebruiken:
Voeg de indicator toe aan een 1m of 5m chart (bijv. crypto perpetuals).
Vul in de instellingen je Bot / Alert UUIDs in (voor correcte order tracking).
Maak een TradingView Alert aan:
Condition: TIA - Pro Scalping System
Trigger: Any alert() function call
Webhook: De URL van je trading bot of webhook provider.
Zet Min Liq Size op 0 voor alle signalen, of hoger om alleen trades met hoog volume te pakken.
⚠️ Disclaimer:
Trading met leverage brengt risico's met zich mee. Deze tool is bedoeld ter ondersteuning van een geautomatiseerde strategie. Test resultaten altijd eerst met minimale size of in een demo-omgeving.
Liquidation Bubbles [OmegaTools]🔴🟢 Liquidation Bubbles — Advanced Volume & Price Stress Detector
Liquidation Bubbles is a professional-grade analytical tool designed to identify forced positioning events, stop-runs, and liquidation clusters by combining price displacement and volume imbalance into a single, statistically normalized framework.
This indicator is not a repainting signal tool and not a simple volume spike detector. It is a contextual market stress mapper, built to highlight areas where one-sided positioning becomes unstable and the probability of forced order execution (liquidations, stops, margin calls) materially increases.
---
## 🔬 Core Concept
Market liquidations do not occur randomly.
They emerge when price deviates aggressively from its volume-weighted equilibrium while volume itself becomes abnormal.
Liquidation Bubbles detects exactly this condition by:
* Estimating a **dynamic equilibrium price** using an *inverted volume-weighted moving average*
* Measuring **directional price stress** relative to that equilibrium
* Measuring **volume stress** relative to its own adaptive baseline
* Normalizing both into **Z-score–like metrics**
* Highlighting only **statistically extreme, asymmetric events**
The result is a clear visual map of stress points where market participants are most vulnerable.
---
⚙️ Methodology (How It Works)
1️⃣ Advanced Inverted VWMA (Equilibrium Engine)
The script uses a custom Advanced VWMA, where:
* High volume bars receive less weight
* Low volume bars receive more weight
This produces a **robust equilibrium level**, resistant to manipulation and volume bursts.
This equilibrium is used for **both price and volume normalization**, creating a consistent statistical framework.
---
2️⃣ Price Stress (Directional)
Price stress is calculated as:
* The **maximum deviation** between high/low and equilibrium
* Directionally signed (upside vs downside)
* Normalized by its own historical volatility
This allows the script to distinguish:
* Aggressive upside exhaustion
* Aggressive downside capitulation
---
3️⃣ Volume Stress
Volume stress is measured as:
* Deviation from volume equilibrium
* Normalized by historical volume dispersion
This filters out:
* Normal high-volume sessions
* Illiquid noise
And isolates abnormal participation imbalance.
---
4️⃣ Liquidation Logic
A liquidation event is flagged when:
* Both price stress and volume stress exceed adaptive thresholds
* The imbalance is directional and statistically extreme
Optional Combined Score Mode allows aggregation of price & volume stress into a single composite metric for smoother signals.
---
🔵 Bubble System (Signal Hierarchy)
The indicator plots **two tiers of bubbles**:
🟢🔴 Small Bubbles
* Early warning stress points
* Localized stop-runs
* Micro-liquidations
* Often precede reactions or short-term reversals
🟢🔴 Big Bubbles
* Full liquidation clusters
* Forced unwinds
* High probability exhaustion zones
* Frequently align with:
* Intraday extremes
* Range boundaries
* Reversal pivots
* Volatility expansions
Bubble color:
* **Green** → Downside liquidation (sell-side exhaustion)
* **Red** → Upside liquidation (buy-side exhaustion)
Bubble placement is **ATR-adjusted**, ensuring visual clarity without overlapping price.
---
🔄 Cross-Market Volume Analysis
The script allows optional **external volume sourcing**, enabling:
* Futures volume applied to CFDs
* Index volume applied to ETFs
* Spot volume applied to derivatives
This is critical when:
* Your traded instrument has unreliable volume
* You want **institutional-grade confirmation**
---
🧠 How to Use Liquidation Bubbles
This indicator is **not meant to be traded alone**.
Best use cases:
* 🔹 Confluence with support & resistance
* 🔹 Contextual confirmation for reversals
* 🔹 Identifying fake breakouts
* 🔹 Liquidity sweep detection
* 🔹 Risk management (avoid entering into liquidation zones)
Ideal for:
* Futures
* Indices
* Crypto
* High-liquidity FX pairs
* Intraday & swing trading
---
🎯 Who This Tool Is For
Liquidation Bubbles is designed for:
* Advanced discretionary traders
* Order-flow & liquidity-based traders
* Macro & index traders
* Professionals seeking **context**, not signals
If you want **where the market is fragile**, not just where price moved — this tool was built for you.
---
📌 Key Characteristics
✔ Non-repainting
✔ Statistically normalized
✔ Adaptive to volatility
✔ Works on all timeframes
✔ Futures & crypto ready
✔ No lagging indicators
✔ No moving average crosses
---
Liquidation Bubbles does not predict the future.
It shows you where the market is most likely to break.
— OmegaTools
MACD Matrix: Angle & Settlement (Auto-Formatted)This indicator is a comprehensive Multi-Timeframe (MTF) Dashboard designed for technical traders who rely on MACD not just for crossovers, but for Momentum Angle and Settlement (Hooks).
Instead of cluttering your screen with 5 different MACD charts, this Matrix calculates the math in the background and presents a clean "Heads-Up Display" of the MACD state across your specific timeframes (Default: 3m, 15m, 1h, 4h, 16h).
The Concept: "Angle Settlement"
Standard MACD indicators only show you when a cross happens. By then, the move is often halfway over. This script focuses on the Angle (Slope) of the MACD line to predict turns before they happen:
Steep Angle: Momentum is accelerating. (Strong Trend)
Settling Angle: The slope is flattening out. The MACD line is "hooking." (Reversal/Cross Imminent)
Dashboard Columns Explained
TF (Timeframe): Auto-formats your settings into readable text (e.g., "240" becomes "4h").
Zone:
> 0 (Green): MACD is above the Zero Line (Bullish Trend context).
< 0 (Red): MACD is below the Zero Line (Bearish Trend context).
Cross:
PCO (Green): Positive Crossover (MACD > Signal).
NCO (Red): Negative Crossover (MACD < Signal).
Deg (°):
The calculated mathematical angle of the MACD line.
Positive (+): Momentum is rising.
Negative (-): Momentum is falling.
State (The Strategy):
STEEP (Bright Color): The angle is increasing. Do not trade against this momentum.
SETTLE (Dim Color): The angle is decreasing compared to the previous bar. The momentum is "cooling off," often signaling a "Hook" or an upcoming crossover.
Settings & Customization
Custom Timeframes: You can freely change TF-1, TF-2, etc., in the settings. The table labels will auto-update (e.g., if you change 4h to 1D, the table will display "1D").
MACD Lengths: Fully customizable (Default 12, 26, 9).
Angle Sensitivity: A multiplier to calibrate the "Degrees" to your specific asset class (Crypto, Forex, or Indices). If angles look too small, increase this value.
Commando SMA Direction ColorColors the X-period Simple Moving Average (SMA) based on its direction.
The SMA is displayed in green when its current value is higher than its previous value, and in red when its current value is lower than its previous value.
Subhamoy SMA Direction ColorFor Commandoo Trader Community. If SMA is Risiing then it will show a different Colour and if SMA is Falling, it will show a different Colour.
So that we can understand the Momentum of any script.
GC/DC Momentum Predictor🎯 GC/DC Momentum Predictor v1.0
CORE CONCEPT:
Predicts Golden Cross/Death Cross BEFORE they occur by analyzing momentum, proximity, and trend alignment across 3 moving averages (20/60/120).
KEY SIGNALS:
- Strong GC/DC: Signals occurring with trend (above/below 120 MA) - Highest reliability
- Weak GC/DC: Signals occurring against trend - Lower reliability, use caution
- Support Hold: ⭐ MOST IMPORTANT - Price bounces from 120 MA during DC = Low-risk buy opportunity
- Resistance Break: Price breaks above 120 MA during GC = Strong bullish confirmation
HOW TO USE:
1. Add indicator to chart (works best on 4H/Daily timeframes)
2. Customize MA periods in Settings if needed (default: 20/60/120)
3. Set up alerts for key signals (especially "Support Hold")
4. Watch dashboard for real-time signal status
DASHBOARD GUIDE:
- MA: Your moving average periods
- Signal: Current prediction (Strong GC/Weak GC/Strong DC/Weak DC/No Signal)
- Short MA: 20/60 alignment (Bullish/Bearish/Mixed)
- Long MA: Price position vs 120 MA (Bullish/Bearish)
- 120 Status: Support/Resistance action (most critical for entries/exits)
- Gap: Distance between 20/60 MAs (negative = DC zone, positive = GC zone)
ALERT SETUP:
Create alerts in TradingView for:
- 💪 Support Hold (best buy signal)
- ✅ Strong GC (strong uptrend entry)
- 🚀 Resistance Break (breakout confirmation)
- ❌ Strong DC (exit signal)
CUSTOMIZATION:
All dashboard rows can be toggled on/off in Settings > Dashboard Settings
Adjust colors, position, and size to match your trading style
BEST PRACTICES:
✓ Wait for "Support Hold" during corrections for optimal entries
✓ Strong signals are more reliable than Weak signals
✓ Combine with volume analysis for confirmation
✓ Use "Once Per Bar Close" for alerts to avoid false signals
PARAMETER GUIDE:
- Short SMA (20): Short-term moving average period
- Long SMA (60): Mid-term moving average period
- Trend SMA (120): Long-term trend moving average period
- Proximity Threshold (2%): How close MAs must be for signal (lower = fewer signals)
- Acceleration Factor (1.2): Momentum strength requirement (higher = fewer signals)
Version 1.0 | January 2025
Free to use | Please leave feedback in comments!
🎯 GC/DC 모멘텀 예측기 v1.0
핵심 개념:
3개의 이동평균선(20/60/120)에서 모멘텀, 근접도, 추세 정렬을 분석하여 골든크로스/데드크로스를 발생 전에 미리 예측합니다.
주요 신호:
- Strong GC/DC: 추세와 함께 발생하는 신호(120 MA 위/아래) - 신뢰도 최고
- Weak GC/DC: 추세와 반대로 발생하는 신호 - 신뢰도 낮음, 주의 필요
- Support Hold: ⭐ 가장 중요 - DC 중 120 MA에서 반등 = 저위험 매수 기회
- Resistance Break: GC 중 120 MA 돌파 = 강한 상승 확인
사용 방법:
1. 차트에 지표 추가 (4시간봉/일봉에서 최적)
2. 필요시 설정에서 MA 기간 조정 (기본값: 20/60/120)
3. 핵심 신호에 대한 알림 설정 (특히 "Support Hold")
4. 대시보드에서 실시간 신호 상태 확인
대시보드 가이드:
- MA: 사용 중인 이동평균 기간
- Signal: 현재 예측 신호 (Strong GC/Weak GC/Strong DC/Weak DC/No Signal)
- Short MA: 20/60 배열 상태 (Bullish/Bearish/Mixed)
- Long MA: 120 MA 대비 가격 위치 (Bullish/Bearish)
- 120 Status: 지지/저항 행동 (진입/청산에 가장 중요)
- Gap: 20/60 MA 간 거리 (음수 = DC 구간, 양수 = GC 구간)
알림 설정:
트레이딩뷰에서 다음 신호에 대한 알림 생성:
- 💪 Support Hold (최고의 매수 신호)
- ✅ Strong GC (강한 상승 추세 진입)
- 🚀 Resistance Break (돌파 확인)
- ❌ Strong DC (청산 신호)
커스터마이징:
모든 대시보드 행은 설정 > Dashboard Settings에서 켜기/끄기 가능
색상, 위치, 크기를 트레이딩 스타일에 맞게 조정
추천 사용법:
✓ 조정 시 "Support Hold" 대기로 최적 진입점 확보
✓ Strong 신호가 Weak 신호보다 신뢰도 높음
✓ 거래량 분석과 병행하여 확인
✓ 알림은 "봉 종가 시 한 번"으로 설정하여 허위 신호 방지
파라미터 설명:
- Short SMA (20): 단기 이동평균 기간
- Long SMA (60): 중기 이동평균 기간
- Trend SMA (120): 장기 추세 이동평균 기간
- Proximity Threshold (2%): 신호 발생을 위한 MA 간 근접도 (값이 작을수록 신호 적음)
- Acceleration Factor (1.2): 모멘텀 강도 요구 수준 (값이 클수록 신호 적음)
버전 1.0 | 2025년 1월
무료 사용 | 댓글로 피드백 부탁드립니다!
1H EMA window multiple cyclesThis is a display method with nested EMAs across multiple timeframes. Within the one-hour window, you can see whether there are key moving averages providing resistance above or below the current candlestick, allowing for effective judgment and eliminating the need to repeatedly switch between different timeframes and multiple alerts.
这是一个多时间级别EMA嵌套的显示方式。在一小时窗口下,可以看到当下K线的上下是否有关键均线的阻力,以便做出有效判断,免去了切换不同时间窗口和多重报警的反复切换。
GKZ anchored EMAsimple explanation
I choose the time period of EMA
I choose its timeframe...( daily /weekly)
and I simply anchor it...no matter which timeframe chart I open
NAhi samjhe!
lets say I am long nifty but I want to trail it on 30 ema ( weekly). I use GKz anchored EMA and chose 30 ema ( weekly) ....it is default option.
Now, irrespective of what timeframe chart i use....daily , weekly, monthly , 2 hours, 4 hours etc etc.....GKz anchored EMA always shows values as under 30 EMA weekly.
Good when you are trailing your trades!
Cheers
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