ADVANCED NIFTY OPTION BUY SELLADVANCED NIFTY OPTION BUY SELL – V1 is a non-repainting, trend-following TradingView indicator specially designed for NIFTY Index Options (CE / PE) traders.
This indicator focuses on:
Eliminating over-trading
Providing high-quality, low-frequency signals
Avoiding trades during sideways markets
It combines EMA crossover, RSI momentum, and ADX trend strength to deliver clean and reliable buy/sell signals.
Scalping
The Anh - Scalping 1M Pro V1 LOCKEDScalping 1M - Đánh nhanh, rút lẹ . Cần liên hệ chủ sở hữu để lấy Key kích hoạt .
ThaiRiches Predictor [AI Premium]ThaiRiches Predictor is a comprehensive trend-following system designed to help traders identify high-probability entries while managing risk effectively. This script combines Zero-Lag technology (ZLEMA) with volatility filters and an intelligent AI Dashboard to analyze market conditions in real-time.
Key Features:
Zero-Lag Trend Engine: Uses a custom Zero-Lag EMA (ZLEMA) logic combined with volatility bands to detect trend changes earlier than traditional Moving Averages.
AI Analysis Dashboard: A real-time monitor panel that evaluates Trend, Momentum (RSI), and Volatility to provide actionable advice (e.g., "Strong Uptrend", "Overbought - Wait for Pullback", or "Low Volatility - Caution").
Auto TP & SL System: Automatically calculates and displays Stop Loss (SL), Take Profit 1 (TP1), and Take Profit 2 (TP2) based on ATR, adapting to the current market volatility.
Improved Safety: SL is calculated from the High/Low of the signal candle to prevent premature stop-outs.
Visual Alerts: Clear BUY/SELL labels with price targets and color-coded candlesticks for easy visual confirmation.
How to Use:
BUY Signal: Look for the Green Label and Green Trend Line. Confirm with the Dashboard (Status: BULLISH).
S ELL Signal: Look for the Red Label and Red Trend Line. Confirm with the Dashboard (Status: BEARISH).
Risk Management: Use the provided SL levels. It is recommended to take partial profit at TP1 and trail your stop to entry.
Caution: Avoid trading when the Dashboard shows "Low Volatility" or "Choppy" warnings.
Settings:
You can adjust the Trend Sensitivity and RSI Period.
TP/SL Multipliers are fully customizable to fit different assets (Gold, Forex, Crypto).
Scalp Signal Pro# Scalp Signal Pro™
## Multi-Confluence Day Trading System for SPY, QQQ & IWM
---
## 📌 Overview
**Scalp Signal Pro™** is a professional-grade trading indicator specifically optimized for day trading and scalping major ETFs on 4-minute and 15-minute timeframes. Unlike simple crossover indicators that generate excessive noise, SSP uses a sophisticated multi-confluence scoring system that analyzes 15+ technical factors simultaneously, only triggering signals when multiple conditions align perfectly.
The indicator was designed with one goal: **Quality over Quantity**. Rather than flooding your chart with signals, SSP waits for high-probability setups where trend, momentum, volume, and price action all confirm the same direction.
---
## 🎯 Key Features
### 1. Multi-Confluence Scoring Engine
Every potential signal is scored across 15 technical factors:
- RSI momentum and extremes
- MACD crossovers and histogram strength
- 4-EMA stack alignment (9/21/50/200)
- VWAP position and bounces
- ADX trend strength with DI confirmation
- Volume spikes and buying/selling pressure
- Stochastic RSI crosses in extreme zones
- Bollinger Band bounces and squeezes
- Candlestick patterns (engulfing, hammer, shooting star)
- Momentum and Rate of Change
- Key level proximity (support/resistance)
- RSI divergence detection
Signals only trigger when the combined score reaches your threshold (default: 9 points).
### 2. Smart Quality Filters
Before any signal appears, it must pass 8 strict quality gates:
- ✅ Trend alignment (price vs EMAs and VWAP)
- ✅ Momentum confirmation (multiple indicators agree)
- ✅ Volume validation (above average required)
- ✅ Candle quality (no weak/indecision candles)
- ✅ No counter-signals (avoid overbought longs, oversold shorts)
- ✅ Trending market (ADX confirmation)
- ✅ Anti-chop filter (avoid consolidation zones)
- ✅ Session timing (avoid lunch hour chop)
### 3. Real-Time MTF Analysis Panel
A beautiful dashboard displaying market conditions across 5 timeframes:
- **Momentum** (0-200 scale) - Overall directional strength
- **Sentiment** (0-100 scale) - Bullish vs bearish bias
- **Volatility** (0-100 scale) - Current vs historical volatility
- **Bias Indicator** - Clear BULLISH / BEARISH / NEUTRAL reading
### 4. Automatic Key Levels
Six critical support/resistance levels plotted automatically:
- **PDH/PDL** - Previous Day High/Low (Cyan)
- **2DH/2DL** - 2 Days Ago High/Low (Orange)
- **PWH/PWL** - Previous Week High/Low (Pink)
Signals at these levels receive bonus scoring for higher probability setups.
### 5. Dynamic EMA Cloud
Visual trend identification using EMA 9/21 cloud:
- Green cloud = Bullish trend
- Red cloud = Bearish trend
- Cloud acts as dynamic support/resistance for retest entries
---
## 📊 How It Works
### Signal Generation Process
```
Step 1: Calculate confluence score (15 factors)
↓
Step 2: Check if score ≥ minimum threshold (default: 9)
↓
Step 3: Validate through 8 quality filters
↓
Step 4: Verify session timing and cooldown
↓
Step 5: Display CALL or PUT signal
```
### CALL Signal (Bullish)
Appears as green ▲ below the candle when:
- Price is above EMA 21 and VWAP
- EMA 9 is above EMA 21 (bullish structure)
- Momentum indicators confirm upward direction
- Volume is above average
- Candle is green (bullish)
- Not at resistance or in overbought condition
### PUT Signal (Bearish)
Appears as red ▼ above the candle when:
- Price is below EMA 21 and VWAP
- EMA 9 is below EMA 21 (bearish structure)
- Momentum indicators confirm downward direction
- Volume is above average
- Candle is red (bearish)
- Not at support or in oversold condition
---
## ⚙️ Recommended Settings
### For SPY / QQQ / IWM
| Setting | 4-Minute | 15-Minute |
|---------|----------|-----------|
| Signal Strength | 8-9 | 9-10 |
| Cooldown Bars | 12-15 | 5-8 |
| Stop Loss | 0.6-0.8 ATR | 0.8-1.0 ATR |
| Take Profit | 1.0-1.2 ATR | 1.2-1.5 ATR |
| Strict Mode | ON | ON |
| Session Filter | ON | ON |
### Optimal Trading Hours (EST)
- ✅ **Morning Session:** 9:35 AM - 11:30 AM
- ✅ **Afternoon Session:** 1:30 PM - 4:00 PM
- ❌ **Avoid:** 11:30 AM - 1:30 PM (lunch chop)
- ❌ **Avoid:** First 5 minutes after market open
---
## 📈 Trading Strategies
### Strategy 1: Direct Signal Entry
1. Wait for CALL or PUT signal to appear
2. Confirm MTF panel shows matching bias
3. Enter on signal candle close
4. Stop loss: Below/above recent swing
5. Take profit: 1.5x stop distance
### Strategy 2: EMA Cloud Retest (Higher Win Rate)
1. Signal appears (CALL or PUT)
2. Wait for price to pull back to EMA cloud
3. Enter when price bounces off cloud in signal direction
4. Tighter stop loss = Better risk/reward
### Strategy 3: Key Level Bounce
1. Price approaches PDL, 2DL, or PWL (for CALL)
2. Wait for CALL signal at the level
3. Confirm with bullish candle pattern
4. Enter with stop below the level
5. PWH/PWL bounces have highest probability
### Strategy 4: Breakout Confirmation
1. Price breaks above PDH or PWH
2. Wait for pullback to broken level
3. CALL signal appears on retest
4. Enter with stop below the level
---
## 🎨 Visual Elements
### Signal Labels
- **CALL** - Green label below candle with score and R:R
- **PUT** - Red label above candle with score and R:R
### EMA Cloud
- Green shaded area when EMA 9 > EMA 21
- Red shaded area when EMA 9 < EMA 21
### EMA 200
- Red line showing major trend direction
### Key Levels
- Horizontal lines at PDH/PDL (cyan), 2DH/2DL (orange), PWH/PWL (pink)
### MTF Panel
- Dark themed dashboard with color-coded values
- Emoji icons for quick identification
- Pulsing bias indicator
---
## ⚠️ Important Notes
### What This Indicator Does
- ✅ Identifies high-probability entry points
- ✅ Filters out low-quality signals
- ✅ Shows multi-timeframe market context
- ✅ Plots important support/resistance levels
- ✅ Provides clear visual signals
### What This Indicator Does NOT Do
- ❌ Guarantee winning trades
- ❌ Replace proper risk management
- ❌ Work in all market conditions
- ❌ Predict the future
### Best Practices
1. Always use stop losses
2. Risk only 1-2% per trade
3. Trade with the MTF panel bias
4. Avoid signals during news events
5. Be patient - quality over quantity
6. Backtest before live trading
---
## 📋 Settings Reference
### Entry Rules
| Setting | Range | Default | Description |
|---------|-------|---------|-------------|
| Signal Strength | 6-12 | 9 | Minimum score to trigger signal |
| Strict Mode | ON/OFF | ON | Require all filters to pass |
| Cooldown Bars | 3-50 | 15 | Bars between signals |
| Session Filter | ON/OFF | ON | Only trade prime hours |
### Risk Management
| Setting | Range | Default | Description |
|---------|-------|---------|-------------|
| ATR Period | 5-20 | 10 | ATR calculation period |
| Stop Loss | 0.3-2.0 | 0.8 | Stop distance × ATR |
| Take Profit | 0.5-3.0 | 1.2 | Target distance × ATR |
### Moving Averages
| Setting | Range | Default | Description |
|---------|-------|---------|-------------|
| Fast EMA | 5-20 | 9 | Fast EMA for signals |
| Mid EMA | 10-50 | 21 | Mid EMA for trend |
| Slow EMA | 30-100 | 50 | Slow EMA for context |
| Trend EMA | 100-500 | 200 | Major trend direction |
### Display
| Setting | Options | Default | Description |
|---------|---------|---------|-------------|
| Panel Size | Small/Normal/Large | Small | MTF panel size |
| Panel Position | 9 positions | Top Right | Panel location |
| Show EMA Cloud | ON/OFF | ON | Display cloud |
| Show EMA 200 | ON/OFF | ON | Display trend EMA |
| Show Labels | ON/OFF | ON | Display signal labels |
| Show Panel | ON/OFF | ON | Display MTF panel |
---
## 🔔 Alerts
Three alert conditions available:
- 🟢 **CALL Signal** - Long entry opportunity
- 🔴 **PUT Signal** - Short entry opportunity
- ⚡ **Any Signal** - Either direction
Set alerts to "Once Per Bar Close" for reliable notifications.
---
## 📊 Performance Expectations
With proper settings and discipline:
- **Signals per day:** 2-6 (quality filtered)
- **Best timeframes:** 4m, 5m, 15m
- **Best instruments:** SPY, QQQ, IWM
- **Recommended account:** Paper trade first
---
## ⚖️ Disclaimer
This indicator is for educational and informational purposes only. It is not financial advice. Past performance does not guarantee future results. Trading involves substantial risk of loss. Always do your own research and never risk more than you can afford to lose.
---
## 📞 Support
If you have questions or suggestions:
- Use the comments section below
- Report bugs via TradingView messages
- Leave a review if you find value
---
**Good luck and happy trading! 🎯📈**
*Scalp Signal Pro™ - Quality Signals for Serious Traders*
RSI Forecast [QuantAlgo]🟢 Overview
While standard RSI excels at measuring current momentum and identifying overbought or oversold conditions, it only reflects what has already happened in the market. The RSI Forecast indicator builds upon this foundation by projecting potential RSI trajectories into future bars, giving traders a framework to consider where momentum might head next. Three analytical models power these projections: a market structure approach that reads swing highs and lows, a volume analysis method that weighs accumulation and distribution patterns, and a linear regression model that extrapolates recent trend behavior. Each model processes market data differently, allowing traders to choose the approach that best fits their analytical style and the asset they're trading.
🟢 How It Works
At its foundation, the indicator calculates RSI using the standard methodology: comparing average upward price movements against average downward movements over a specified period, producing an oscillator that ranges from 0 to 100. Traders can apply an optional signal line using various moving average types (e.g., SMA, EMA, SMMA/RMA, WMA, or VWMA), and when SMA smoothing is selected, Bollinger Bands can be added to visualize RSI volatility ranges.
The forecasting mechanism operates by first estimating future price levels using the chosen projection method. These estimated prices then pass through a simulated RSI engine that mirrors the actual indicator's mathematics. The simulation updates the internal gain and loss averages bar by bar, applying the same RMA smoothing that powers real RSI calculations, to produce authentic projected values.
Since RSI characteristically moves in waves rather than straight lines, the projection system incorporates dynamic oscillation. This draws from stored patterns of recent RSI movements, factors in the tendency for RSI to pull back from extreme readings, and applies mathematical wave functions tied to current momentum conditions. The Oscillation Intensity control lets traders adjust how much waviness appears in projections. Signal line (RSI-based MA) projections follow the same logic, advancing the chosen moving average type forward using its proper mathematical formula. The complete system generates 15 bars of projected RSI and signal line values, displayed as dashed lines extending beyond current price action.
🟢 Key Features
1. Market Structure Model
This projection method reads price action through swing point analysis. It scans for pivot highs and pivot lows within a defined lookback range, then evaluates whether the market is building bullish patterns (successive higher highs and higher lows) or bearish patterns (successive lower highs and lower lows). The algorithm recognizes structural shifts when price violates previous swing levels in either direction.
Price projections under this model factor in proximity to key swing levels and overall trend strength, measured by tallying trend-confirming swings over recent history. When bullish structure prevails and price hovers near support, upward price bias enters the projection, pushing forecasted RSI higher. Bearish structure near resistance creates the opposite effect. The model scales its projections using ATR to keep them proportional to current volatility conditions.
▶ Practical Implications for Traders:
Aligns well with traders who focus on support, resistance, and swing-based entries
Provides context for where RSI might travel as price interacts with structural levels
Tends to perform better when markets display clear directional swings
May produce less useful output during consolidation phases with overlapping swings
Offers early visualization of potential divergence setups
Swing traders can use structure-based projections to time entries around key pivot zones
Position traders could benefit from the trend strength component when holding through larger moves
On lower timeframes, it helps scalpers identify micro-structure shifts for quick momentum plays
Useful for mapping out potential RSI behavior around breakout and breakdown levels
Day traders can combine structural projections with session highs and lows for intraday context
2. Volume-Weighted Model
This method blends multiple volume indicators to inform its price projections. It tracks On-Balance Volume to gauge cumulative buying and selling pressure, monitors the Accumulation/Distribution Line to assess where price closes relative to its range on each bar, and calculates volume-weighted returns to give heavier influence to high-volume price movements. The model examines the directional slope of these metrics to assess whether volume confirms or contradicts price direction.
Unusually high volume bars receive special attention, with their directional bias factored into projections. When all volume metrics point the same direction, the model produces more aggressive price forecasts and consequently stronger RSI movements. Conflicting volume signals lead to more muted projections, suggesting RSI may move sideways rather than trending.
▶ Practical Implications for Traders:
Suited for traders who incorporate volume confirmation into their analysis
Works best with instruments that report accurate, meaningful volume data
Useful for identifying situations where momentum lacks volume support
Less applicable to instruments with sparse or unreliable volume information
Scalpers on liquid markets can spot volume-backed momentum for quick entries and exits
Helps intraday traders distinguish between genuine moves and low-volume fakeouts
Position traders can assess whether institutional participation supports longer-term trends
Effective during news events or market opens when volume spikes often drive directional moves
Swing traders can use volume divergence in projections to anticipate potential reversals
3. Linear Regression Model
The simplest of the three methods, linear regression fits a straight line through recent price data using least-squares mathematics and extends that line forward. These projected prices then generate corresponding RSI forecasts. This creates a clean momentum projection without conditional logic or interpretation of market characteristics. The forecast simply asks: if the recent price trend continues at its current rate of change, where would RSI be in the coming bars?
▶ Practical Implications for Traders:
Delivers a clean, mathematically neutral projection baseline
Functions well during sustained, orderly trends
Involves fewer parameters and produces consistent, reproducible output
Responds more slowly when trend direction shifts
Works best in trending environments rather than ranging markets
Ideal for position traders who want to ride established trends
Useful for swing traders to gauge trend exhaustion when actual RSI deviates from linear projections
Scalpers can use the smooth output as a reference point to measure short-term momentum deviations
Effective baseline for comparing against structure or volume models to measure market complexity
Works particularly well on higher timeframes where trends develop more gradually
🟢 Universal Applications Across All Models
Regardless of which forecasting method you select, the indicator projects future RSI positions that may help with:
▶ Overbought/Oversold Planning: See whether RSI trajectories point toward extreme zones, giving you time to prepare responses before conditions develop
▶ Entry and Exit Timing: Factor projected RSI levels into your timing decisions for opening or closing positions
▶ Crossover Anticipation: Watch for projected crossings between RSI and its signal line (RSI-based MA) that might indicate upcoming momentum shifts
▶ Mean Reversion Context: When RSI sits at extremes, projections can illustrate potential paths back toward the midline
▶ Momentum Evaluation: Assess whether current directional strength appears likely to continue or fade based on projection direction
▶ Divergence Awareness: Use forecast trajectories alongside price action to spot potential divergence formations earlier
▶ Comparative Analysis: Run different projection methods and note where they agree or disagree, using alignment as an additional filter, for instance
▶ Multi-Timeframe Context: Compare RSI projections across different timeframes to identify alignment or conflict in momentum outlook
▶ Trade Management: Reference projected RSI levels when adjusting stops, scaling positions, or setting profit targets
▶ Rule-Based Systems: Incorporate projected RSI conditions into systematic trading approaches for more forward-looking signal generation
Note: It is essential to recognize that these forecasts derive from mathematical analysis of recent price behavior. Markets are dynamic environments shaped by innumerable factors that no technical tool can fully capture or foresee. The projected RSI values represent potential scenarios for how momentum might develop, and actual readings can take different paths than those visualized. Historical tendencies and past patterns offer no guarantee of future behavior. Consider these projections as one element within a comprehensive trading approach that encompasses disciplined risk management, appropriate position sizing, and diverse analytical methods. The true benefit lies not in expecting precise forecasts but in developing a forward-thinking perspective on possible market conditions and planning your responses accordingly.
EDMR Index (Event Driven Mean Reversion Index)EDMR Index is a market context and exhaustion indicator designed to identify short term instability, stretch, and mean reversion risk in fast intraday markets.
Rather than generating trade signals, EDMR provides a real time regime framework that helps traders understand when price action is statistically favorable and when it is not.
This is not a buy / sell indicator.
It is a context engine built to integrate seamlessly with existing strategies.
Key Features
Composite 0–100 exhaustion index
Measures:
- Price stretch from equilibrium
- Recency of extreme conditions
- Momentum deceleration
Regime-based background visualization:
- Neutral
- Developing
- Elevated
- Extreme
Thin, non-intrusive EDMR line for precise reading
Volume exhaustion markers highlighting abnormal participation
Color-coded status-line value for instant regime awareness
Fully protected, invite-only script
Why Event-Driven Context Matters
Most indicators react after conditions change.
EDMR focuses on market state, not signals — highlighting when price action is becoming unstable or statistically stretched before risk escalates.
This allows traders to:
Avoid entries during high-risk exhaustion regimes
Better time mean-reversion setups
Scale aggression up or down based on context
Stay out of overextended or unstable conditions
Intended Use
Intraday trade filtering
Mean-reversion context
Momentum exhaustion awareness
Risk modulation for discretionary strategies
Optimized for lower timeframes (1–3 minute charts).
On higher timeframes, regimes will naturally remain elevated more often. This is expected behavior with the current parameters set. Changing of parameters are available in the settings menu and individual settings may work for you on higher timeframes.
Who This Is For
✔ Traders who already have defined entries
✔ Active intraday traders and scalpers
✔ Traders who value context over signals
✖ Not a buy/sell signal
✖ Not a standalone strategy
✖ Not designed for higher-timeframe swing trading out of the box
Disclaimer
This indicator is provided for educational and informational purposes only.
It does not constitute financial advice or guarantee performance.
Trading involves risk.
EDMR Index on SPY (2-minute).Visualizes exhaustion, compression, and reversion context during high-liquidity market conditions:
EDMR applied to BTCUSD (2-minute). Designed to respond to event-driven volatility across asset classes:
Consistent behavior across index ETFs. EDMR highlights mean-reversion pressure without generating trade signals:
High-beta equity example (NVDA, 2-minute). EDMR adapts to rapid volatility expansion and contraction:
Quantum EdgeQuantum Edge
DESCRIPTION:
Time-based cycle alignment scanner using fractal cycle theory to detect when multiple timing cycles converge at mathematically significant zones.
█ OVERVIEW
Quantum Edge is a time-based cycle alignment scanner built on fractal cycle theory. Markets move in nested cycles across multiple timeframes. This indicator detects moments when several of these cycles simultaneously reach mathematically significant positions, creating potential turning points.
The core concept: when multiple independent timing cycles converge at key zones, the probability of a reaction increases. The more cycles aligned, the higher the probability score.
█ HOW IT WORKS
The indicator tracks multiple time-based cycles of varying lengths. Each cycle is analyzed for its current position within its phase. When a cycle reaches a statistically significant zone (based on cycle theory), it contributes points to a composite probability score.
Shorter cycles contribute fewer points (they align frequently).
Longer cycles contribute more points (they align rarely).
Additional weighting is applied for:
- Specific days of the week known for higher volatility
- Specific times of day associated with market structure shifts
The final score represents how many timing factors are currently aligned.
█ SIGNALS EXPLAINED
👑 Rare multi-cycle convergence — Several long-duration cycles aligned simultaneously. Occurs a few times per month.
💎 Strong convergence — Multiple mid-to-long duration cycles aligned. Occurs a few times per week.
🌅 Daily cycle alignment — Daily-length cycle at a key zone with supporting factors. Occurs 1-2 times per day.
🔥 Short cycle alignment — Shorter-duration cycles aligned. Occurs several times per day.
🔮 Prediction — The indicator scans ahead and displays where future alignments are likely to occur based on the deterministic nature of time cycles.
█ TRADING MODES
The indicator includes preset modes that adjust sensitivity:
SNIPER — Only displays the highest-scoring alignments. For patient traders waiting for the best setups.
DAILY — Displays daily-quality alignments and above. Recommended starting point for most traders.
ACTIVE — Displays more frequent setups. For traders who want more opportunities and can filter with price analysis.
SCALP — Displays all qualifying alignments. Highest frequency, requires additional confirmation.
█ WHAT MAKES THIS UNIQUE
This indicator uses a proprietary weighted scoring system based on fractal cycle mathematics. The specific cycle lengths, zone calculations, and weighting factors are the result of extensive research into cyclical market behavior.
The predictive feature is deterministic — because time cycles are mathematical, future alignments can be calculated in advance. This allows traders to plan entries before setups occur rather than reacting after the fact.
The source is protected because the specific parameters and scoring logic represent significant research and development.
█ INTENDED USE
This is a TIMING tool, not a directional signal generator.
It answers: "When are multiple cycles aligned?"
It does NOT answer: "Which direction should I trade?"
Combine with your own price analysis (support/resistance, order flow, market structure) to determine direction. Use this tool to identify WHEN those setups have higher probability.
█ LIMITATIONS
- No indicator predicts the future with certainty
- Cycle alignments indicate probability, not guaranteed outcomes
- Past alignment results do not guarantee future performance
- This tool requires combination with price-based analysis for best results
- Not all alignments result in tradeable moves
█ SETTINGS
- Mode Selection: Choose your preferred sensitivity level
- Show Score: Toggle probability scores on/off
- Show Predictions: Toggle future alignment predictions on/off
- Prediction Range: How far ahead to scan for alignments
- Colors: Customize signal colors to your preference
█ MARKETS AND TIMEFRAMES
Works on any liquid market: Futures, Forex, Crypto, Stocks, Indices.
Optimized for intraday timeframes (1-15 minute charts) but can be applied to higher timeframes for swing trading applications.
█ ACCESS
This is an invite-only script. If you have questions about the methodology or would like to discuss access, you may send me a direct message.
High-Probability Scalper (Market Open)Market open is where volatility is real, spreads are tight, and momentum shows itself early. This scalping strategy is built specifically to operate during that window, filtering out low-quality signals that usually appear later in the session.
Instead of trading all day, the logic is restricted to the first 90 minutes after market open, where continuation moves and fast pullbacks are more reliable.
What This Strategy Does
This script looks for short-term momentum alignment using:
Fast vs slow EMA structure
RSI confirmation to avoid chasing extremes
ATR-based risk control
Session-based filtering to trade only when volume matters
It’s designed for intraday scalping, not swing trading.
Core Trading Logic
1. Market Open Filter
Trades are allowed only between 09:30 – 11:00 exchange time.
This avoids low-liquidity chop and focuses on the period where most breakouts and reversals form.
2. Trend Confirmation
Bullish bias: 9 EMA crosses above 21 EMA
Bearish bias: 9 EMA crosses below 21 EMA
This keeps trades aligned with short-term direction instead of random entries.
3. Momentum Check (RSI)
RSI is used as a quality filter, not as an overbought/oversold signal.
Long trades only when RSI is strong but not extended
Short trades only when RSI shows weakness without exhaustion
This removes late entries and reduces whipsaws.
Entries & Exits
Entries
Executed only on confirmed candles
No intrabar repainting
One position at a time
Risk Management
Stop-loss based on ATR
Take-profit calculated using a fixed risk–reward ratio
Same structure for both long and short trades
This keeps risk consistent across different symbols and volatility levels.
Why This Strategy Works Better at Market Open
Volume is highest
False breakouts are fewer
EMA crosses have follow-through
RSI behaves more cleanly
By not trading all day, the strategy avoids most of the noise that kills scalpers.
Best Use Cases
Index futures
High-liquidity stocks
Major crypto pairs during active sessions
1m to 5m timeframes
What This Strategy Is NOT
Not a martingale
Not grid-based
Not designed for ranging markets
Not a “set and forget” system
It’s a controlled scalping template meant for disciplined execution.
How to Use It Properly
Test on multiple symbols
Adjust ATR length for volatility
Tune RSI ranges per market
Always forward-test before live alerts
Final Note
This strategy focuses on structure, timing, and risk, not indicator stacking.
If you trade the open, this gives you a clear framework instead of emotional entries.
If you want:
Alerts
Session customization
News filters
Partial exits
You can extend this logic without breaking the core system.
Hybrid Market Score Suite - Impulse Monitor🔬 HYBRID MARKET SCORE SUITE - Impulse Monitor — Algorithmic Imbalance Scoring & Compact 28-Indicator Dashboard
Monitoring regular divergences, OB/OS zones, statistical deviations, and 28 metrics simultaneously is impractical to do manually. HMSS - Impulse Monitor updates them every tick in one compact dashboard, with an optional scoring layer.
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🎯 WHAT IS THIS
HMSS - Impulse Monitor
Performs **Real-Time Monitoring** of 28 technical metrics across 3 fixed timeframes ( 5m / 15m / 30m ) simultaneously.
It processes market data on a **tick-by-tick** basis without lookahead, designed to detect developing market imbalances and local exhaustion points as they happen.
Since the indicator analyzes fixed multi-timeframe streams, it is chart TF-independent : switching your main chart timeframe does not affect the internal logic or scoring.
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🔧 "SWISS ARMY KNIFE" — Daily Monitoring Tool
A compact table with extensive data that you use every day :
28 indicators across 3 timeframes (5m / 15m / 30m):
Divergences (9): RSI DIV, MFI DIV, CCI DIV, CMF DIV, MACD DIV, CVD DIV, DELTA RSI (DRSI) DIV, Elder DIV, STOCH DIV
OB/OS (5): RSI OB/OS, MFI OB/OS, CCI OB/OS, DRSI OB/OS, STOCH OB/OS
Z-Score (8): RSI Z-Score, MFI Z-Score, CCI Z-Score, STOCH Z-Score, DRSI Z-Score, CMF Zone, CVD Z-Score, MACD Z-Score
Special (6): Elder Force, Volume Climax, ZMO EXT, (Nadaraya Watson Envelope) NW ENV, ATR Spikes, VWAP Dev
A few "Special" metrics may be less familiar than classic oscillators, so here are quick notes on what they flag (not "better" indicators — just more niche tools):
NW ENV (Nadaraya–Watson Envelope): A kernel-smoothed price envelope (period 8) with deviation multipliers 2.25 (inner) and 7.75 (extreme). Labels reflect band breaches: !! = price outside the inner band (strong extension), !!! = outside the upper extreme band (rare upside extension), !!!! = outside the lower extreme band (rare downside extension). These are context tags for extension/mean-reversion risk, not trade commands.
ATR Spikes: Compares the current candle range (High–Low) to the recent average ATR(14) over the last 10 bars. A spike triggers when the candle is ≥ 2.0× larger than the average — often seen during climax-like moments (sharp expansion), useful as a “caution marker” for late-move entries.
Volume Climax: A Z-Score of volume over 20 periods. Flags unusually high volume above about 1.9σ . In practice, it helps highlight “crowd intensity” moments: heavy volume on a down candle can resemble panic-like supply; heavy volume on an up candle can resemble aggressive chasing. Treat it as context, not a directional guarantee.
normalized via Z-Score over a 100 -bar history. It highlights statistically stretched momentum when it deviates beyond roughly 2.0σ from its mean — a way to spot overheated acceleration.
All of this — across multiple timeframes simultaneously, in one compact table, without cluttering your chart with a dozen oscillators below. Works on any chart TF — your timeframe selection does not affect calculations.
Each block can be toggled in settings:
Divergence Block — forming regular divergences across oscillators/flows
OB/OS Block — overbought/oversold zones (RSI/MFI/CCI/Stoch etc.)
Z-Score Block — statistical deviations in sigmas (σ)
Special Indicators Block — special indicators and regime filters
Scoring Block — Hybrid Engine (Score, Pattern, Breakdown, Attention, Trade Type, Veto)
Use it as a dashboard for quick market assessment — like a Geiger counter for market anomalies.
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🧠 SCORING SYSTEM — For Extreme Imbalances
An innovative data-driven engine that activates during moments of extreme imbalance :
• Calibrated using 380,000+ historical market data records
• Compares current indicator combinations with historical patterns
• Assigns a Score when significant combinations are detected
Think of the scoring system as a Storm Radar — it doesn't predict volatility explosions, but it "lights up" during storms and shows when the turbulence reaches its peak and begins to subside.
It is designed to assist in identifying potential impulse reversals during liquidation events, if that aligns with your approach.
The system is calibrated on a multi-month historical dataset of 380,000+ records collected minute-by-minute from cryptocurrency markets (BTC, ETH, SOL). During this period, the market showed both multi-month lows and several ATH (All-Time High) events. Statistical dependencies and indicator combination patterns were identified from this data.
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🧠 SCORING ENGINE ARCHITECTURE
Concept & Logic:
This system utilizes a hybrid approach, combining classical technical analysis with statistical profiling. Instead of simply summing up indicator signals, the algorithm compares the current market state against a proprietary database of historical patterns ("Profiles") collected for specific assets.
The calculation logic is layered:
1. Base Layer (Indicator Analysis):
The system monitors 28 metrics (RSI, MFI, Z-Scores, CVD, ATR Spikes, VWAP DEV, etc.).
Standard Deviation (25 pts, Dim Cell): Occurs when an indicator exceeds a standard volatility threshold (e.g., Z-Score > 1.5). This registers as a common local anomaly.
Profile Alignment (50 pts, Bright Cell): Occurs when a value hits specific historical thresholds recorded in the Asset Profile. These are values where impulses or structural shifts occurred in the past data samples.
2. The Core Pattern Recognition (compressed historical scenarios):
The system scans for ~14 compressed market scenarios (Patterns). A pattern becomes active only when its specific "Kernel" of indicators fires simultaneously with a Coverage Ratio > 70%.
3. Confluence & Weighting:
The final score reflects the density of these matches. It identifies the "Winning Side" (Long vs. Short bias) based on the accumulated weight of base and profile scores.
Score Breakdown (The "X-Ray" Row):
The dashboard displays a breakdown row ( L:… S:… C:… A:… K:… ) to visualize the components of the Total Score:
L / S (Baseline): Cumulative weight of active indicators for Long or Short bias.
C (Core Multiplier): A dynamic coefficient applied when the match with a historical pattern "Kernel" is high.
A (AddSig): Points for secondary confirming factors that reinforce the active pattern.
K (Key Features): Internal code for High-Impact Anomalies . These are rare statistical outliers (e.g., extreme Z-Scores > 3.0) that carry significant weight due to their historical correlation with volatility expansion.
System States (Dashboard Output):
The text labels on the UI represent the statistical context of the market, not direct trade commands:
NEUTRAL: Balanced market, no dominant patterns.
SIGNAL FORMING: Early detection of potential accumulation or distribution structures.
TREND — WAIT: Market is in a directional phase; algorithm is monitoring for exhaustion or pivot points.
ON WATCH: High statistical confluence detected.
MAYBE LONG/SHORT: Directional statistical bias is present.
MAX SCORE: Indicates an "Extreme Score" condition. Historically, such values appear during significant market extensions (Global Lows/Highs) where pattern coverage can approach 100% alongside statistical anomalies.
BREAKOUT: Context suggests impulse continuation or level breach.
Disclaimer: This tool provides a statistical context assessment based on historical pattern matching. "Global Lows/Highs" / "New Low/High" are dataset-derived pattern names, not a directional claim. "Max Score" and "Key Features" describe rarity levels, not guaranteed outcomes. Past market behavior is not indicative of future performance.
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🛡️ DRSI VETO — SAFETY MECHANISM
Sometimes "the setup exists by score", but the market is overextended — which can make timing riskier. This is where DRSI Veto comes in:
If the system indicates LONG , but DRSI Z-Score shows extreme overbought conditions (or vice versa for SHORT), the VETO activates, significantly reducing the final Score.
This helps filter out overextended "exhaustion" setups — technically valid by score, but stretched enough to increase mean-reversion risk without proper context. A clear VETO label appears in the table.
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🎯 USE CASES — WHEN IT WORKS BEST
Dual Purpose: Efficiency & Detection
While the Scoring Engine hunts for invisible imbalances, the dashboard serves as your primary daily workstation . It replaces the need for multiple oscillator panes, keeping your charts clean while providing a "Heads-Up Display" for Oscillators, Money Flow, and Statistical Anomalies across three timeframes at once.
Identifying Liquidation-Driven Reversals:
The scoring system is most effective during high-impulse market movements — large liquidation cascades, stop-loss hunts, sharp imbalances. HMSS - Impulse Monitor helps spot potential exhaustion points within seconds or minutes, highlighting reaction zones during high-impulse moves.
When NOT to expect detections:
Markets can and often WILL reverse without the indicator firing. This tool is designed for high-volatility moments with significant liquidations . Reversals in low-volatility, "quiet" markets will likely occur without elevated readings.
This is intentional: higher-score conditions are designed to be relatively rare, not a daily occurrence. If your approach values selectivity, it may help to treat elevated readings as “patient-wait” moments — markets often reward waiting for cleaner, high-confluence regimes rather than forcing a setup every session.
Think of the scoring system as an airbag — most of the time you don't need it, but when it activates, its informational value is high. It's your storm radar: particularly useful when markets enter rare and dangerous regimes.
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💡 FORMING DIVERGENCES — Real-Time Monitoring
Important note for experienced traders:
The indicator shows divergences that are CURRENTLY FORMING , not confirmed ones. This is Real-Time Monitoring mode — scoring updates every tick , allowing you to see the situation as it develops.
⚠️ No lookahead / no future leak: This script strictly uses lookahead=barmerge.lookahead_off (no future data is used in calculations).
On historical data, scores are always displayed based on closed candles. For better historical detail, use candles down to 1-10 seconds.
If a "forming" pattern disappears — this is a normal part of real-time monitoring: the market changes, and the assessment/confluence recalculates accordingly.
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📈 DIVERGENCE PERCENTAGES — WHAT THEY MEAN
Percentages next to divergences show "Divergence Intensity" — how strongly price and oscillator have diverged between points.
Note: The presence of a divergence itself is factored into the scoring system. However, the percentage values (intensity) are currently NOT included in Score calculation. We may add them in the future if we accumulate sufficient data confirming their statistical significance. For now, percentages serve as a visual hint for your own analysis — an additional confirmation filter.
Note: The indicator also draws forming divergence lines directly on the price chart — for 6 key oscillators (RSI, MACD, MFI, CCI, DRSI, CVD).
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🔧 SCORING SYSTEM COMPATIBILITY
Statistical data profiles are available for: BTC, ETH, and SOL
- Default mode is AUTO : BTC/ETH/SOL detected automatically; all other assets use 'ALTS' (ETH-based) profile
- Manual Override: You can select a specific profile in settings if Bar Replay testing shows it tracks your asset's volatility better
- Indicator readings as tools work on ANY assets and markets
- For non-crypto instruments (Forex, Stocks): if alerts trigger too often or too rarely, adjust MAX SCORE Thresholds in settings
Note: Alert threshold settings (Base, Total, MAX SCORE) also affect "Attention Level" and "Trade Type" display in the UI.
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🔔 ALERT SYSTEM (4-STEP)
The alert system is tiered (each step can be toggled on/off):
Step 1: Base Score — Triggers when mathematical confluence reaches base threshold
Step 2: Core Pattern — Triggers when algorithmic pattern is detected (Breakout/Formation)
Step 3: Total Score — Triggers when total Score reaches threshold
Step 4: MAX SCORE Alert — Final high-score alert (individual thresholds for BTC/ETH/SOL/ALT)
Important: Alert thresholds simultaneously calibrate Attention and Trade Type in the UI.
For automation (bots / webhook-based tools): use Webhook URL. Keep in mind that maximum score is often reached at the wick tip, not at candle close — backtesting on longer TFs may show delayed data.
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🧩 HMSS ECOSYSTEM: HMSS - Impulse Monitor vs. HMSS - Context Engine
This script (HMSS - Impulse Monitor) is one half of a specialized two-module system. It is designed to work either as a standalone tool or alongside its companion, HMSS - Context Engine.
Why separate scripts? To maximize responsiveness and detail without hitting Pine Script resource limits (memory/execution time), the ecosystem is split into two specialized engines. Merging them would compromise real-time performance.
Note: HMSS - Context Engine is not a different preset of the same script — it is a separate engine with its own indicator set, pattern library, and calibration profiles designed for a different purpose and a different analytical scope.
Key Differences & Synergy:
Distinct Purpose (Micro vs. Macro): HMSS - Impulse Monitor (This Script): Designed for "Market Reaction." It monitors 5m/15m/30m specifically to detect local exhaustion, liquidation wicks, and immediate imbalances. HMSS - Context Engine (Companion): Designed for "Market Context." It analyzes 1h/4h/1D/1W structures to identify global trends and major structural pivots.
Distinct Indicator Sets: Each engine includes components better suited for its timeframe domain. HMSS - Impulse Monitor features VWAP Deviation and ATR Spikes — metrics more relevant for intraday dynamics. HMSS - Context Engine incorporates structure-oriented indicators not present here: ADX Exhaustion, OBV Divergence & Z-Score, Delta Histograms, VixFix (WVF), Basis, Williams A/D, and Pivot Distances.
Distinct Calibration Profiles: While both engines are developed using historical market observations, their pattern libraries and threshold values are calibrated independently for their respective metric sets and use-cases. The same market event may register as "Extreme" on HMSS - Impulse Monitor while appearing "Neutral" on HMSS - Context Engine if the broader trend structure remains intact — and vice versa.
💡 Synergy Scenarios (How to use them together): Experienced traders often combine both modules to refine market context and decision-making:
• Trend Pullback (Scalp): If HMSS - Context Engine indicates a strong Trend, but HMSS - Impulse Monitor shows "Extreme Overbought/Oversold" (correction against trend) — this often highlights a short-term counter-trend opportunity or a re-entry point.
• Major Reversal Risk: If BOTH HMSS - Impulse Monitor and HMSS - Context Engine indicate "Max Score" / "Extreme Imbalance" simultaneously — this is a rare statistical event (confluence of micro and macro exhaustion) that historically correlates with significant structural reversals.
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⚙️ TECHNICAL NOTES
🕰️ Real-Time Monitor (No Past Labels):
Crucial Concept: This tool is a Real-Time Monitor , not a "signal painter." It shows the market state HERE AND NOW — it does NOT draw historical Buy/Sell arrows or preserve past dashboard states. The only elements drawn on the chart are currently forming divergence lines.
Calculation Heavy:
We utilize maximum Pine Script limits for calculations. Initial loading may take up to 12-15 seconds — this reflects the precision and volume of processed data. After loading, the indicator operates without noticeable delays, processing data every tick .
Chart TF Independence:
The indicator analyzes fixed MTF streams, so your chart timeframe selection does not affect results. For reduced load and faster response, 5-60 minute charts are preferred.
Recommended Chart Timeframe:
For speed and lower load: 5–60 minutes (optimal)
For super-detailed history, you can go down to second-level candles, but this is a performance/memory tradeoff
Bar Replay — How to See Past Performance:
To understand how the Scoring Engine reacted to specific market moves (e.g., a past crash or pump), use Bar Replay Mode :
1s to 30s: Best accuracy (precise tick-emulation)
1 min: Acceptable (if your plan lacks seconds-based intervals)
> 5 min: Not recommended — accuracy drops as intrabar price action is lost
⚠️ > 15 min: Not recommended — may exceed memory limits (TradingView constraint)
To manage the extensive database of pattern weights and profiles while maintaining high performance, this engine utilizes a custom optimized data structure. This ensures the script operates smoothly within Pine Script's resource limits without compromising the depth of historical analysis.
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🔬 TECHNICAL APPROACH (for the curious)
The indicator uses a proprietary compact data encoding system that allows transmitting information about divergences, their type, length, and intensity in a single numeric value. This enables efficient aggregation of data from multiple timeframes without exceeding Pine Script limits.
The scoring system is built on the Statistical Pattern Matching principle: current indicator combinations are compared against a library of statistically significant patterns, each with its own weight and type (Formation/Breakout).
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🚀 QUICK START
Add HYBRID MARKET SCORE SUITE - Impulse Monitor to your chart.
Position table (recommended: bottom-right ) and adjust Offset / Spacer so it doesn't overlap price action.
In settings, toggle blocks by groups: Divergences / OB-OS / Z-Score / Special / Scoring — to match your trading style and load preferences.
For comfortable operation, use chart TF 5–60m .
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🔄 DEVELOPMENT
The indicator receives periodic updates, including statistical pattern refinements as new market data is accumulated, to maintain relevance with current market conditions. Update schedule is not guaranteed.
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🛡️ DISCLAIMER
This script is provided for informational and educational purposes only and does NOT constitute financial advice, investment advice, or a recommendation to buy/sell any asset.
All examples, descriptions, and statistics are based on historical observations. Market conditions can change, patterns can fail, and signals/labels may disappear or update in real time. No results are guaranteed.
Use this tool as one input among many. Always apply your own judgment, risk management, and independent verification (DYOR). Trading — especially with leverage — involves substantial risk, including the risk of total loss. You are solely responsible for your decisions and outcomes.
GEMINI Advanced SMA with Trend & AlertsDescription:
This indicator is a professional Trend & Signal analysis tool designed to help traders identify market direction, entries, and momentum strength at a glance. It combines a customizable dual Moving Average system with an advanced real-time Information Dashboard.
The script is built to keep charts clean while providing maximum data through the on-screen panel.
📈 Key Features
1. Dual Moving Average System
Fast MA (Signal Line): Acts as the primary trigger for entries.
Slow MA (Trend Baseline): Filters the overall market direction.
Visual Cloud: The area between the two MAs is filled with color (Green/Red) to visualize the trend strength and potential support/resistance zones.
Flexibility: You can choose between SMA, EMA, HMA, WMA, or RMA for both lines independently.
2. Professional Data Dashboard A customizable table positioned on your chart provides real-time analytics:
Price Action: Immediate Bullish/Bearish status.
MA Status: Shows if the Fast and Slow MAs are currently Rising or Falling.
Exact Levels: Displays the precise price values of the MAs.
Spread Analysis: Monitors the gap between the Fast and Slow MA ("Expanding" vs "Squeezing") to help identify momentum acceleration or exhaustion.
3. Signals & Alerts
BUY Signal: Generated when the Price crosses OVER the Fast MA.
SELL Signal: Generated when the Price crosses UNDER the Fast MA.
Alerts: Fully compatible with TradingView alerts for automation.
4. Multi-Timeframe (MTF) Support You can calculate the Moving Averages based on a higher timeframe (e.g., viewing 4-hour MAs while trading on a 15-minute chart) to stay aligned with the macro trend.
🛠 How to Use
Trend Identification: Look at the "Cloud" color. Green indicates an uptrend context; Red indicates a downtrend context.
Entry Points: Use the "BUY" and "SELL" labels.
Pro Tip: Take BUY signals only when the Cloud is Green (trading with the trend).
Pro Tip: Take SELL signals only when the Cloud is Red.
Momentum Check: Use the Dashboard to see if the Spread is "EXPANDING" (strong momentum) or "SQUEEZING" (potential consolidation or reversal).
⚙️ Settings
Fast/Slow Length & Type: Fully customizable periods and MA types.
MTF: Enable/Disable higher timeframe calculations.
Dashboard: You can toggle the table visibility, change its size (Tiny, Small, Normal, Large), and move it to any corner of the screen.
Disclaimer: This tool is for informational purposes only and does not constitute financial advice.
ORACLE v13: The Gamified Market HUDORACLE v13 is not just an indicator; it is a complete Trading HUD (Heads-Up Display) that translates complex market data into an intuitive, video-game-style interface. It turns abstract concepts like "volatility" and "support/resistance" into actionable game mechanics, allowing you to react faster and trade smarter.
⚔️ Key Features:
🛡️ Boss & Shield Mechanics (Support/Resistance):
Automatic detection of key levels visualized as "Bosses" (Resistance) and "Shields" (Support).
HP System: Watch price "damage" these levels in real-time. When "Boss HP" hits zero, a breakout is imminent.
🔮 The Bestiary (Market Conditions):
Instantly identifies the "Enemy Type" you are fighting:
🟢 SLIME: Squeeze zone (low volatility, prepare for a move).
👺 GOBLIN: Chop/Noise (high risk, avoid trading).
🐉 DRAGON: Strong Trend (ride the momentum).
👹 BERSERKER: Extreme Volatility (proceed with caution).
📈 Live Structure Mapping:
Real-time ZigZag overlays with automatic HH/LL/LH/HL labels.
Breakout Flash: Candles flash WHITE instantly when major structure or Boss levels are broken.
🎮 Combat Stats:
Combo Counter: Tracks consecutive directional candles.
Aggro Meter: Visualizes volume intensity.
Loot Drop Rate: innovative metric calculating the probability of a profitable move based on current ATR.
Momentum Bar: RPG-style health bar for trend strength.
Why use ORACLE? Most indicators just draw lines. ORACLE gives you Context. It tells you exactly what kind of market environment you are in so you never bring a knife to a Dragon fight. Perfect for scalpers and day traders who need instant situational awareness.
Settings: Fully customizable Lookback periods, ZigZag sensitivity, and Visual Themes.
Hybrid CCI Scalper ProHybrid CCI Scalper Pro is a sophisticated trading system designed to solve the biggest problem in scalping: False Signals in Choppy Markets.
Unlike standard CCI indicators that fire on every crossover, the HCS Pro uses a Hybrid Logic Engine that distinguishes between high-probability Trend Continuations and powerful Reversal Setups. It processes every potential entry through a 6-factor "Quality Filter" before generating a signal.
Core Features:
1. The Hybrid Signal Engine The script identifies two distinct market conditions:
TREND Mode: Triggers when price is aligned with the Daily/Local trend AND the CCI angle is steep.
REVERSAL Mode (REV): Triggers only on Extreme Momentum (steep angle) combined with a Zero-Line cross, allowing you to catch tops and bottoms without waiting for lagging trend indicators.
2. The Quality Scoring System (Q-Score) Every signal is rated from 0 to 6 stars based on confluence. The signal label shows Q: 4/6, Q: 5/6, etc.
Score 4+: High probability (Recommended).
Score 6: "The Perfect Storm" – All filters (Trend, Volume, RSI, ADX) align.
3. The "Ironclad" Filters To eliminate fake-outs, the script enforces strict rules:
Candle Color Guard: Never Buys on a Red candle or Sells on a Green one.
Angle validation: Flat CCI movement is ignored.
MTF Trend: Checks the Daily timeframe (D1 EMA) to ensure you aren't scalping against the major flow.
Noise Filter: Uses ATR and Volume to ignore low-volatility "dead" markets.
4. The Information Panel A clean dashboard on the top-right displays real-time metrics:
Current Daily Trend (Bull/Bear)
Momentum Strength (Weak/Strong/Extreme)
ADX Power (Trending vs Ranging)
Live Signal Score
How to Trade:
BUY Signal: Look for a Green Triangle. Ideally, the Label should say TREND or REV with a Quality Score of 4/6 or higher.
SELL Signal: Look for a Red Triangle with a high Quality Score.
No Signal? If the panel says "WAIT" or the score is low, the market is likely choppy. Stay out.
Recommended Settings:
Gold (XAUUSD): Works best on 15m.
Forex (EURUSD): Works well on 5m - 15m.
Default settings are optimized for a balance between frequency and accuracy.
Liquidity Sweep Sniper AP StyleAP Capital – Liquidity Sweep Sniper (Fab-Style)
📌 Overview
This indicator is a precision scalping tool inspired by professional liquidity-based trading concepts often demonstrated by elite intraday scalpers.
The script focuses on liquidity sweeps followed by strong displacement, aiming to capture short, high-probability momentum moves — particularly effective on lower timeframes (1–5 min) during active market sessions.
It is not a signal spam tool. Signals appear only when multiple objective conditions align.
🧠 Core Concept
Markets do not move randomly — they seek liquidity before expanding.
This indicator identifies:
Buy-side / Sell-side liquidity
Liquidity sweeps (stop-hunts)
Strong displacement candles reclaiming price
Optional higher-timeframe trend alignment
Only when all conditions are met does a signal print.
🔍 What the Indicator Detects
1️⃣ Liquidity Pools
Equal highs or equal lows detected within a configurable lookback
Minimum number of touches required
ATR-based tolerance to adapt to volatility
These levels represent areas where stop orders are likely resting.
2️⃣ Liquidity Sweep
A valid sweep requires:
Price to wick beyond the liquidity level
Candle to close back inside the range
This indicates failed breakout / stop-hunt behaviour.
3️⃣ Displacement Confirmation
After the sweep, the candle must show:
Strong body (default >60% of candle range)
Candle range large relative to ATR
Clear directional intent (momentum)
This filters out weak reactions and chop.
4️⃣ Optional Trend Filter
EMA-based higher-timeframe bias
Helps align scalps with dominant direction
Can be enabled or disabled
📈 Signals
BUY: Sell-side liquidity sweep → bullish displacement
SELL: Buy-side liquidity sweep → bearish displacement
Signals are plotted directly on the chart and can be used with alerts.
⚙️ Recommended Usage
Markets: XAUUSD, indices, liquid FX pairs
Timeframes: 1m–5m
Sessions: London & New York (best performance)
Risk Management: Always required — this tool does not place trades
Best used as a confirmation tool, not standalone.
⚠️ Important Notes
This indicator is inspired by liquidity-based scalping concepts, not an exact replication of any individual trader’s private strategy.
No indicator predicts the future — this tool highlights high-probability scenarios, not guarantees.
Past performance is not indicative of future results.
[ARTIO] TTG Levels Pro: The Grail (S.C.T.) TTG Levels Pro Professional Multi-Timeframe & Intraday Analysis Tool
This indicator is a comprehensive solution for analyzing Key Levels across multiple timeframes and tracking intraday structure. It automates the calculation of significant Support/Resistance zones and provides real-time Volume Weighted data.
How it works (Technical Methodology):
Multi-Timeframe Levels (HTF): The script uses request.security() to fetch High and Low pivot data from higher timeframes (1M, 1W, 1D, 4H, 1H). It identifies the most relevant "unbroken" range levels and projects them onto the current chart.
Intraday Structure (VWAP & Bisector):
VWAP (Volume Weighted Average Price): Calculated cumulatively from the start of the trading day. This represents the fair value based on volume distribution.
Daily Bisector (Midpoint): Calculates the 50% retracement level of the current daily range (High + Low) / 2. This updates dynamically with every tick as the daily range expands.
Visualization Engine:
History Mode: Users can toggle "Path" mode to see how the VWAP and Bisector levels evolved throughout the session (stepline visualization).
Clean Mode: Users can switch to a straight-line projection to keep the chart clean, focusing only on current values.
Features:
Monitor 6 Timeframes simultaneously.
Dynamic Alert System (Price Proximity & Trend Direction).
Synergy Detection: Alerts when multiple timeframe levels cluster together within a defined % range.
Customizable Dashboard Table.
Settings are fully customizable via the inputs menu.
Quantum Edge First Signal DetectorQuantum Edge is a non-repainting, multi-confirmation indicator that detects the first high-probability BUY & SELL signals using momentum, trend, volume, volatility, and price-action voting logic.
🧠 About This Indicator
Quantum Edge – First Signal Detector is designed to solve one common trader problem:
too many late or repeated signals.
Instead of firing continuous entries, this indicator focuses only on the FIRST valid signal after a market shift — helping traders enter early, reduce noise, and avoid over-trading.
It uses a quantum-style voting engine where multiple independent market factors must align before a signal is confirmed.
⚙️ Core Logic (How It Works)
Each candle is evaluated using 6 independent factors:
RSI Momentum
Bullish when RSI > 50
Bearish when RSI < 40
Price Location
Price near recent highs or lows
Volume Expansion
Current volume above moving average
EMA Trend Direction
EMA 20 vs EMA 50
Candle Strength
Strong bullish or bearish candle bodies
Volatility Filter
ATR-based low volatility confirmation
Each factor gives 1 vote.
When minimum confirmations are met, a FIRST BUY or FIRST SELL signal is generated.
🚀 Key Features
✅ First-Signal-Only Logic
Only the first BUY or SELL after trend change
No repeated signals in the same direction
Built-in signal cooldown (user-controlled)
✅ Non-Repainting
Signals are confirmed on candle close
No future data, no repainting
✅ Smart Trend Filtering
EMA-based directional bias
Avoids weak counter-trend entries
✅ Advanced Visual System
Clear BUY / SELL triangles
Trend, volume & momentum backgrounds
Support & resistance zones
Market sentiment bar coloring
✅ Alert Support
Buy alert
Sell alert
📊 Best Timeframes
Scalping: 1m – 5m
Intraday: 5m – 15m
Swing Confirmation: 30m – 1H
Works on:
Forex
Crypto
Indices
Stocks
🎯 How to Trade (Simple Guide)
BUY Setup
✔ First BUY signal appears
✔ Trend is bullish
✔ Use nearby support as reference
SELL Setup
✔ First SELL signal appears
✔ Trend is bearish
✔ Use nearby resistance as reference
Always combine with risk management.
Disclaimer: This indicator is for educational purposes only and does not constitute financial advice. Trading involves risk. Use proper risk management.
Open Interest Bubbles [BackQuant]Open Interest Bubbles
A visual OI positioning overlay that aggregates futures open interest across major venues, normalizes it into a consistent “signal strength” scale, then plots extreme events as bubbles, labels, and optional horizontal levels directly on price.
What this is for
Open interest is one of the cleanest ways to track when positioning is building, unwinding, or aggressively shifting. The problem is raw OI is noisy, exchange-specific, and hard to compare across time. This script solves that by:
- Aggregating OI across multiple exchanges.
- Letting you choose what “OI signal” you care about (raw, delta, percent versions).
- Normalizing the signal so “big events” are easy to spot.
- Plotting those events as bubbles and levels at the exact price they occurred.
You end up with a clean, fast visual map of where large positioning changes occurred, and where those events may later matter as reaction points.
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Plotting types (what you can display)
Bubbles
This mode plots OI events as size-bucketed circles on the chart. Bigger bubbles represent stronger normalized events. You can tune:
- Bubble sizing by bucket (Tiny → Huge).
- Heatmap vs solid color styling.
- Signed vs unsigned coloring (positive/negative separation or magnitude-only).
Best use:
- Spotting “where something changed” at a glance.
- Identifying clusters of positioning events around key price zones.
- Seeing whether the market is repeatedly building/closing positions at similar levels.
Levels
Levels mode draws a horizontal line at the anchor price when an extreme OI event triggers. These act like “positioning memory” levels:
- They do not claim to be support/resistance by themselves.
- They highlight prices where the derivatives market clearly did something meaningful.
Best use:
- Marking potential reaction zones.
- Combining with your price action tools (structure, OBs, FVGs) to confirm whether an OI level aligns with a technical level.
- Building a “map” of where leverage likely entered or exited.
Modes available in the script:
- Off
- Bubbles
- Bubbles + Labels
- Labels Only
- Levels + Labels
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Aggregated Open Interest source (multi-exchange)
This indicator builds a single aggregated OI series by requesting OI data from multiple exchanges and summing it. You can toggle exchanges on/off:
- Binance, Bybit, OKX, Bitget, Kraken, HTX, Deribit
You can also choose OI units:
- COIN , OI in base units (native sizing)
- USD , converted for a dollar-value representation
Important note:
Not every symbol has OI data on every venue. If the script cannot build an aggregated series for the symbol, it will throw an error rather than quietly plotting garbage.
────────────────────────────────────────────────────────────
OI Source, what the bubbles are measuring
You control what “signal” is normalized and plotted:
- Delta , change in aggregated OI from the prior bar.
Use when you want to highlight bursts of new positioning or sudden unwind events.
- Raw OI , the aggregated open interest level itself.
Use when you want to highlight absolute positioning build-up periods.
- Delta % , percent change in OI.
Use when you want moves normalized to the current OI regime, useful across different market eras.
- Raw OI % , percent change form of the raw series.
Use when you want relative changes rather than absolute size.
Practical guidance:
- Delta modes are best for “event detection”.
- Raw modes are better for “regime context” and whether positioning is structurally rising or fading.
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Normalization (the key to making it readable)
Because OI varies massively across assets and time, the script includes multiple normalization modes to convert your chosen OI source into a comparable “strength” value.
Options:
- ZScore , deviation from a rolling mean in standard deviation units.
- StdNorm , scaled by rolling standard deviation.
- AbsZScore , absolute value version for magnitude-only mapping.
- AbsStdNorm , absolute value version for magnitude-only mapping.
- None , plots raw values (advanced users only, often too noisy visually).
Why this matters:
Normalization makes a “1.5” or “3.0” threshold mean something across different assets and timeframes, instead of being stuck to raw OI units.
────────────────────────────────────────────────────────────
Threshold system (when bubbles/levels trigger)
The plot is driven by two user thresholds:
- Base Threshold
Controls where “meaningful” events start. Raising this reduces noise and focuses on larger deviations.
- Extreme Threshold
Controls what qualifies as a top-tier event. Extreme events are what you typically want to convert into labels and levels.
You also control side filtering:
- Both , show positive and negative events.
- Positive Only , show only increases (or positive signal side depending on source).
- Negative Only , show only decreases (or negative signal side).
In practice:
- Use Base Threshold to tune chart cleanliness.
- Use Extreme Threshold to mark only the “big stuff” that tends to matter later.
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Anchor Source (where the bubble/level is placed)
The indicator places bubbles, labels, and levels at a price anchor you choose:
- HL2, Close, Open, High, Low, VWAP
This is important because “where you pin the event” changes how it reads:
- Close is clean and consistent for backtesting and candle-close logic.
- High/Low can better represent where the fight occurred intrabar.
- VWAP can be useful for “fair price” anchoring in active markets.
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Style system (theme, palette, signed logic)
This script is built to look good and stay readable on busy charts.
Themes
- BackQuant, Classic, Ice, Fire, Mono, Custom
Palette Mode
- Solid , one consistent color
- Heatmap , intensity increases with magnitude
- Single Color Adaptive , adapts to chart background for clarity
Side Coloring
- Signed , positive and negative events can use different ramps
- Unsigned , magnitude-only coloring
Negative theme handling:
- Auto (mirrors your chosen theme),
- Invert (flips the ramp),
- Custom (fully user-defined negative palette).
What this gives you:
- You can run a clean “mono” look for professional charts.
- Or a high-contrast heatmap for fast scanning.
- Or fully custom branding colors for BackQuant-style presentation.
────────────────────────────────────────────────────────────
Labels (what’s inside the label)
When labels are enabled, the script can display:
- OI , the aggregated OI value
- OI + Norm , OI plus normalized strength
- Norm Only , just the normalized strength
- Src + Norm , the selected source value (Delta, Raw, %) plus normalized strength
You can also control:
- Left/Center/Right label alignment
- Number formatting style (Raw, Compact, Volume format)
Best practice:
- Use “Src + Norm” when you want both the raw event size and its rarity.
- Use “Norm Only” when you want a clean, minimal chart.
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Levels and object limits (performance and cleanliness)
Because this script draws objects, it includes a hard cleanup system:
- You set Max Levels / Labels to control chart clutter.
- The script deletes older lines/labels when the limit is exceeded.
This is critical if you trade lower timeframes, where OI events can trigger frequently.
────────────────────────────────────────────────────────────
How to interpret the signals
What a large bubble usually means:
- A statistically large positioning change relative to recent history.
- This can represent fresh leverage entering, forced liquidations, or aggressive de-risking, depending on direction and context.
How to use levels:
- Treat them as “attention levels”, not automatic entries.
- Combine them with structure and liquidity tools:
- If price revisits an OI level and shows rejection, it often confirms that level mattered.
- If price slices through with no reaction, it often indicates the OI event was transitional, not defended.
Common setups:
- Clustered extreme bubbles near a breakout zone, then retest later.
- Extreme negative event at capitulation low, followed by structure flip.
- Extreme positive build into resistance, then unwind and mean reversion.
Also, please check out @NoveltyTrade for the OI Aggregation logic & pulling the data source!
Here is the original script:
ORB Pro: Sniper Edition [Hybrid Scanner + Smart Ranking]الوصف (Description):
🚀 ORB Pro: Sniper Edition – The Ultimate Day Trading System
The ORB Pro: Sniper Edition is not just an indicator; it is a complete algorithmic trading system designed for scalpers and day traders who trade the Opening Range Breakout (ORB) strategy.
This edition features a revolutionary "Hybrid Scanner" with "Smart Opportunity Ranking" logic that prioritizes fresh signals over old ones, ensuring you never miss a breakout.
🔥 Key Features:
Hybrid Scanner System:
Manual Mode: Monitor your own top 5 favorite stocks.
Auto Scanner Mode: Automatically scans a pre-defined list of Top 20 High-Momentum Stocks (TSLA, NVDA, AMD, COIN, MSTR, etc.) inside the code.
🧠 Sniper Ranking Logic (The Game Changer): Unlike standard scanners that show static lists, this system sorts stocks dynamically in the table based on opportunity:
🥇 Priority 1: Fresh Breakouts (RUN 🚀) that haven't hit targets yet (The Entry Zone).
🥈 Priority 2: Winning Trades (WIN ✅) that already hit targets.
🥉 Priority 3: Weak or Stopped out trades.
Advanced Strategy Logic:
Fibonacci Targets: Precision exits at 1.618, 2.0, 2.618, and 3.618 extensions.
Smart Reversal: Detects "Fakeouts" and flips the signal immediately (e.g., from CALL to PUT) to catch institutional traps.
Trend Filtering: Uses EMA 50 to filter out low-probability trades.
Risk Management:
Auto Breakeven: Moves stop-loss to entry after Target 1.
Trailing Stop: Dynamic stop-loss that follows the price action.
⚙️ How to Use:
Add the indicator to a 5-minute chart.
Go to Settings > Table System > Select "Auto Scanner".
Watch the table: Focus on the top rows showing "RUN 🚀". These are your live entry signals!
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🚀 مؤشر القناص: ORB Pro Sniper Edition – نظام المضاربة اللحظية المتكامل
يعتبر هذا المؤشر نظاماً آلياً متطوراً للمضاربين اللحظيين (Scalpers/Day Traders) يعتمد على استراتيجية كسر نطاق الافتتاح (ORB) الشهيرة، ولكنه معزز بخوارزميات ذكية لتصفية الفرص.
يتميز هذا الإصدار بوجود "ماسح هجين" (Hybrid Scanner) ونظام "تصنيف ذكي" يعطيك الزبدة ويعرض لك الفرص الحية فور حدوثها.
🔥 أهم المميزات:
نظام الماسح الهجين (Hybrid Scanner):
الوضع اليدوي (Manual): لمراقبة قائمتك الخاصة (5 أسهم تختارها أنت).
الماسح الآلي (Auto Scanner): يقوم المؤشر بمسح فوري لقائمة مدمجة تضم أقوى 20 سهم سيولة ومضاربة في السوق الأمريكي (مثل TSLA, NVDA, MSTR, COIN, وغيرها).
🧠 خوارزمية "القناص" للترتيب (Sniper Ranking): الجدول لا يعرض الأسهم عشوائياً، بل يركز على الفرصة الحالية:
🥇 الأولوية القصوى: للأسهم التي أعطت إشارة دخول (RUN 🚀) ولم تحقق الهدف بعد (هذه هي منطقة الدخول الذهبية).
🥈 الأولوية الثانية: للأسهم التي حققت أهدافها (WIN ✅).
🥉 الأولوية الأخيرة: للأسهم المتذبذبة أو الخاسرة.
دقة فنية عالية:
أهداف فيبوناتشي: تحديد آلي لأهداف جني الأرباح (1.618، 2.0، 2.618).
كشف الانعكاس (Reversal): يكتشف الاختراقات الكاذبة (Fakeouts) ويقلب الإشارة فوراً للدخول مع صناع السوق.
فلتر الترند: يستخدم متوسط 50 لمنع الدخول عكس الاتجاه العام.
إدارة المخاطر:
تأمين الصفقة (Breakeven): يرفع الوقف لسعر الدخول تلقائياً بعد تحقق الهدف الأول.
الوقف المتحرك: يلاحق الأرباح للحفاظ عليها.
⚙️ طريقة الاستخدام:
ضع المؤشر على فريم 5 دقائق.
من الإعدادات، اختر نظام الجدول "Auto Scanner".
راقب الجدول: ركز نظرك على الأسهم التي تظهر في أعلى القائمة بحالة "RUN 🚀".
⚠️ Disclaimer / إخلاء مسؤولية: This tool is for educational and analytical purposes only. Trading involves significant risk. Always manage your risk properly. هذه الأداة للأغراض التعليمية والتحليلية فقط. التداول ينطوي على مخاطر عالية.
Options SL/TP Price Projection Sim + Day Trading/Scalping Toolwww.tradingview.com
📌 What this indicator does
This indicator projects what your option contract will be worth when the stock reaches your Stop Loss or Take Profit — before price gets there.
Instead of guessing:
“How much will this option be worth if price hits my stop?”
“Is this move actually worth the risk in option dollars?”
You get instant, realistic option price estimates at your exact stock levels.
⚙️ How it works (simple but powerful)
The script uses a local delta + gamma approximation to estimate option price changes:
Delta → linear price sensitivity
Gamma → curvature for fast moves
Optional execution friction → realistic fills
Automatic Call / Put detection via delta sign
Enforced $0.01 minimum option price (real market behavior)
This is not a slow academic options model — it’s a trader-grade approximation designed for speed and clarity.
🚀 Designed specifically for DAY TRADING
This tool is optimized for:
Options scalping
Momentum trades
Breakouts & flushes
0DTE / weekly options
Holding times ~3–15 minutes
Why it excels here:
Delta + gamma dominate option pricing on fast moves
IV and theta usually don’t have time to fully reprice
You get actionable numbers, not theoretical noise
This is exactly the environment most option day traders operate in.
🧠 Key Features
✅ Projects option price at BOTH SL and TP
✅ Works for calls & puts automatically
✅ Enter any two stock levels — script assigns SL/TP correctly
✅ Clean, black HUD table (no clutter, no moving drawings)
✅ Non-draggable, stable price levels
✅ Minimal inputs — no overengineering
✅ Built for speed under pressure
🎯 Why this is effective
Most traders manage risk in stock points , but trade options .
This indicator bridges that gap.
It lets you:
Judge true risk/reward in option dollars
Avoid “looks good on the chart, bad on the premium”
Compare setups objectively
Size trades more intelligently
Make faster, more confident decisions
It’s especially useful when spreads, gamma, and fast tape make intuition unreliable.
🧼 Philosophy: Clean > Complicated
This script intentionally avoids:
Full Black-Scholes modeling
IV forecasting
Overloaded settings
Visual clutter
Instead, it focuses on what matters for day traders:
“If price gets here quickly, what should my option be worth?”
⚠️ Important Notes
Best accuracy for fast, clean moves
Not intended for multi-hour holds or swing trading
Assumes relatively stable IV over short horizons
Execution friction is configurable to match real fills
Used correctly, this becomes a powerful decision-support tool, not a prediction engine.
✅ Who this indicator is for
Options day traders
Scalpers
Momentum traders
Anyone trading options off stock price levels
If you trade options intraday and manage risk using stock levels, this tool was built exactly for you.
Adaptive Z-Score Oscillator [QuantAlgo]🟢 Overview
The Adaptive Z-Score Oscillator transforms price action into statistical significance measurements by calculating how many standard deviations the current price deviates from its moving average baseline, then dynamically adjusting threshold levels based on historical distribution patterns. Unlike traditional oscillators that rely on fixed overbought/oversold levels, this indicator employs percentile-based adaptive thresholds that automatically calibrate to changing market volatility regimes and statistical characteristics. By offering both adaptive and fixed threshold modes alongside multiple moving average types and customizable smoothing, the indicator provides traders and investors with a robust framework for identifying extreme price deviations, mean reversion opportunities, and underlying trend conditions through the visualization of price behavior within a statistical distribution context.
🟢 How It Works
The indicator begins by establishing a dynamic baseline using a user-selected moving average type applied to closing prices over the specified length period, then calculates the standard deviation to measure price dispersion:
basis = ma(close, length, maType)
stdev = ta.stdev(close, length)
The core Z-Score calculation quantifies how many standard deviations the current price sits above or below the moving average basis, creating a normalized oscillator that facilitates cross-asset and cross-timeframe comparisons:
zScore = stdev != 0 ? (close - basis) / stdev : 0
smoothedZ = ma(zScore, smooth, maType)
The adaptive threshold mechanism employs percentile calculations over a historical lookback period to determine statistically significant extreme zones. Rather than using fixed levels like ±2.0, the indicator identifies where a specified percentage of historical Z-Score readings have fallen, automatically adjusting to market regime changes:
upperThreshold = adaptive ? ta.percentile_linear_interpolation(smoothedZ, percentilePeriod, upperPercentile) : fixedUpper
lowerThreshold = adaptive ? ta.percentile_linear_interpolation(smoothedZ, percentilePeriod, lowerPercentile) : fixedLower
The visualization architecture creates a four-tier coloring system that distinguishes between extreme conditions (beyond the adaptive thresholds) and moderate conditions (between the midpoint and threshold levels), providing visual gradation of statistical significance through opacity variations and immediate recognition of distribution extremes.
🟢 How to Use This Indicator
▶ Overbought and Oversold Identification:
The indicator identifies potential overbought conditions when the smoothed Z-Score crosses above the upper threshold, indicating that price has deviated to a statistically extreme level above its mean. Conversely, oversold conditions emerge when the Z-Score crosses below the lower threshold, signaling statistically significant downward deviation. In adaptive mode (default), these thresholds automatically adjust to the asset's historical behavior, i.e., during high volatility periods, the thresholds expand to accommodate wider price swings, while during low volatility regimes, they contract to capture smaller deviations as significant. This dynamic calibration reduce false signals that plague fixed-level oscillators when market character shifts between volatile and ranging conditions.
▶ Mean Reversion Trading Applications:
The Z-Score framework excels at identifying mean reversion opportunities by highlighting when price has stretched too far from its statistical equilibrium. When the oscillator reaches extreme bearish levels (below the lower threshold with deep red coloring), it suggests price has become statistically oversold and may snap back toward the mean, presenting potential long entry opportunities for mean reversion traders. Symmetrically, extreme bullish readings (above the upper threshold with bright green coloring) indicate potential short opportunities or long exit points as price becomes statistically overbought. The moderate zones (lighter colors between midpoint and threshold) serve as early warning areas where traders can prepare for potential reversals, while exits from extreme zones (crossing back inside the thresholds) often provide confirmation that mean reversion is underway.
▶ Trend and Distribution Analysis:
Beyond discrete overbought/oversold signals, the histogram's color pattern and shape reveal the underlying trend structure and distribution characteristics. Sustained periods where the Z-Score oscillates primarily in positive territory (green bars) indicate a bullish trend where price consistently trades above its moving average baseline, even if not reaching extreme levels. Conversely, predominant negative readings (red bars) suggest bearish trend conditions. The distribution shape itself provides insight into market behavior, e.g., a narrow, centered distribution clustering near zero indicates tight ranging conditions with price respecting the mean, while a wide distribution with frequent extreme readings reveals volatile trending or choppy conditions. Asymmetric distributions skewed heavily toward one side demonstrate persistent directional bias, whereas balanced distributions suggest equilibrium between bulls and bears.
▶ Built-in Alerts:
Seven alert conditions enable automated monitoring of statistical extremes and trend transitions. Enter Overbought and Enter Oversold alerts trigger when the Z-Score crosses into extreme zones, providing early warnings of potential reversal setups. Exit Overbought and Exit Oversold alerts signal when price begins reverting from extremes, offering confirmation that mean reversion has initiated. Zero Cross Up and Zero Cross Down alerts identify transitions through the neutral line, indicating shifts between above-mean and below-mean price action that can signal trend changes. The Extreme Zone Entry alert fires on any extreme threshold penetration regardless of direction, allowing unified monitoring of both overbought and oversold opportunities.
▶ Color Customization:
Six visual themes (Classic, Aqua, Cosmic, Ember, Neon, plus Custom) accommodate different chart backgrounds and aesthetic preferences, ensuring optimal contrast and readability across trading platforms. The bar transparency control (0-90%) allows fine-tuning of visual prominence, with minimal transparency creating bold, attention-grabbing bars for primary analysis, while higher transparency values produce subtle background context when using the oscillator alongside other indicators. The extreme and moderate zone coloring system uses automatic opacity variation to create instant visual hierarchy, with darkest colors highlight the most statistically significant deviations demanding immediate attention, while lighter shades mark developing conditions that warrant monitoring but may not yet justify action. Optional candle coloring extends the Z-Score color scheme directly to the price candles on the main chart, enabling traders to instantly recognize statistical extremes and trend conditions without needing to reference the oscillator panel, creating a unified visual experience where both price action and statistical analysis share the same color language.
Microstructure Participation & Acceptance Indicator📊 Microstructure Participation & Acceptance Indicator
An advanced participation-based filter combining VWAP distance analysis, volume delta detection, and real-time acceptance/rejection state identification—designed for smaller timeframe trading.
📊 FEATURES
VWAP Distance Normalization
Context-aware fair value measurement:
Automatically resets based on selected anchor (Session/Week/Month)
ATR-normalized distance calculation for universal application
Identifies when price is extended or compressed relative to equilibrium
Configurable extreme distance threshold (default: 1.5 ATR)
Adjustable source input (default: HLC3)
Volume Delta Proxy
Bull vs Bear participation tracking:
Calculates volume imbalance between bullish and bearish candles
EMA smoothing for cleaner signal generation (default: 9 periods)
Delta ratio measurement to identify dominant side
Expansion/compression detection to gauge momentum commitment
Configurable expansion threshold (default: 1.3x)
Acceptance/Rejection State Machine
Real-time market regime identification with six distinct states:
🟢 Accepted Long
Price moving away from VWAP with expanding bullish delta
Distance from VWAP increasing
Volume confirming the move
Indicates real buying pressure—trade WITH the move
🟢 Accepted Short
Price moving away from VWAP with expanding bearish delta
Distance from VWAP increasing
Volume confirming the move
Indicates real selling pressure—trade WITH the move
🟠 Fade Long
Price extended beyond threshold (>1.5 ATR above VWAP)
Delta not supporting the extension
Volume participation absent or diminishing
Potential mean-reversion short setup
🟠 Fade Short
Price extended beyond threshold (>1.5 ATR below VWAP)
Delta not supporting the extension
Volume participation absent or diminishing
Potential mean-reversion long setup
⚪ Chop
Price compressed near VWAP
Bollinger Bands tight (width compressed)
Delta neutral—no clear commitment
NO TRADE ZONE—wait for expansion
⚪ Neutral
Transitional state between regimes
Momentum shifting but not yet confirmed
Monitor for next acceptance signal
Bollinger Bands
Standard volatility measurement with TradingView default styling:
Adjustable period length (default: 20)
Configurable standard deviation multiplier (default: 2.0)
Visual fill between bands for volatility context
Used internally for chop/compression detection
Live Dashboard
Real-time metrics display (top-right corner):
Current market state with color coding
VWAP distance in ATR units
Delta ratio (bull/bear volume balance)
Delta state (Expanding/Compressing)
High-contrast design for instant readability
🎯 HOW TO USE
For Trend Trading:
Accepted Long/Short backgrounds indicate confirmed participation—stay with the trend
Strong moves typically travel 1-1.5 ATR from VWAP with delta support
Use VWAP as dynamic support/resistance
Combine with momentum indicators (MACD, RSI) for confluence
Price above VWAP + Accepted Long state = bullish bias
Price below VWAP + Accepted Short state = bearish bias
For Mean Reversion:
Fade Long/Short states signal overextension without participation
Price beyond 1.5 ATR from VWAP with weak delta = potential reversal
Look for price return to VWAP when extended
Bollinger Band extremes + Fade state = high-probability mean reversion setup
VWAP acts as mean reversion anchor during range-bound sessions
For Risk Management:
Chop state = avoid new entries
Bollinger Band compression + Chop = pre-expansion zone (wait for breakout)
Delta compression after strong move = early exhaustion warning
State transitions (Accepted → Neutral → Fade) = tighten stops
Signal Confirmation:
Strongest setups occur when multiple factors align:
BB breakout + Accepted state + price above/below VWAP
Price rejection at BB bands + Fade state
VWAP support/resistance hold + state transition
Delta expansion + distance increasing + trend direction
⚙️ SETTINGS
All components are fully customizable through organized input groups:
VWAP Distance Group:
VWAP source (default: HLC3)
Anchor period (Session/Week/Month)
ATR length for normalization (default: 14)
Extreme distance threshold in ATR multiples (default: 1.5)
Volume Delta Group:
Delta EMA length (default: 9)
Delta expansion threshold (default: 1.3)
Acceptance Logic Group:
Acceptance lookback period (default: 5)
Chop threshold in VWAP/ATR units (default: 0.3)
Bollinger Bands Group:
BB length (default: 20)
Standard deviation multiplier (default: 2.0)
Display Group:
Toggle state backgrounds
Toggle state change labels
Toggle VWAP line
Toggle Bollinger Bands
💡 EDUCATIONAL VALUE
This indicator teaches important concepts:
How institutional money identifies fair value (VWAP)
The difference between price movement and market acceptance
Why volume participation matters more than price action alone
How to distinguish between noise and committed directional moves
The relationship between volatility compression and expansion cycles
Why distance from equilibrium predicts mean reversion probability
⚠️ IMPORTANT NOTES
This indicator is for educational and informational purposes only
This is a filter, not a standalone trading system
No indicator is perfect—always use proper risk management
Past performance does not guarantee future results
Combine with your own analysis and risk tolerance
Test thoroughly on historical data before live trading
This is not financial advice—use at your own risk
🔧 TECHNICAL DETAILS
Pine Script Version 6
Overlay indicator (displays on price chart)
All calculations use standard, well-documented formulas
No repainting—all signals are confirmed on bar close
Compatible with all timeframes and instruments
Optimized for smaller timeframes (1-5 minute charts)
Minimal computational overhead
📝 CHANGELOG
Version 1.0
Initial release
VWAP distance normalization with ATR scaling
Volume delta proxy system (bull/bear EMA)
6-state acceptance/rejection state machine
Bollinger Bands integration
Real-time dashboard with live metrics
State change labels and background coloring
Full customization options
Developed for traders who need objective participation filters to distinguish high-probability setups from low-quality noise—without cluttering their charts with multiple indicator panels.
Smart MA Zone Crossover [HMA-EMA]Smart MA Zone Crossover is a trend-following indicator designed to capture early momentum shifts using the crossover between Hull Moving Average (HMA) and Exponential Moving Average (EMA).
The indicator visually highlights trend direction using a dynamic colored zone, making it easy to identify bullish and bearish market phases at a glance.
🔸 Step 1: Moving Average Calculation
HMA (Hull Moving Average) → Faster, smoother, reacts quickly to price
EMA (Exponential Moving Average) → Stable trend reference
Both MA lengths are **fully adjustable** from the settings panel.
🔸 Step 2: Trend Detection
Bullish Trend: HMA is above EMA
Bearish Trend: HMA is below EMA
The area between the two averages is filled with color to visually represent the current trend state.
Step 3: Signal Generation (Non-Repainting)
Signals are generated **only on confirmed crossovers**:
✅ BUY Signal- HMA crosses above EMA
❌ SELL Signal-HMA crosses belowEMA
Signals do **not repaint** and appear only once per crossover.
🔸 Step 4: Visual Customization
Users can enable or disable:
* Moving average lines
* Colored MA zone fill
* Buy/Sell arrows
* Buy/Sell text labels
This allows the indicator to remain **minimal or detailed**, depending on user preference.
🔹 Key Features
✔ Non-repainting logic
✔ Clean crossover-based signals
✔ Customizable HMA & EMA lengths
✔ Optional MA zone fill
✔ Buy/Sell arrows & labels
✔ Works on all timeframes
✔ Beginner-friendly & scalper-ready
🔹 Best Use Cases
* Trend confirmation
* Momentum trading
* Scalping & intraday trading
* Swing trend filtering
For best results, combine with:
* Support & resistance
* Volume
* Higher-timeframe trend
🔹 Disclaimer
This indicator is provided for **educational purposes only**.
It is **not financial advice**. Always backtest and use proper risk management before trading live markets.
TDZZ ETH 15min Vault: No-Loss Martin Gale StrategyStrategy Overview
The ETH 15min Vault is an enhanced, high-frequency Martin Gale strategy designed specifically for Ethereum on the 15-minute chart. Its core innovation lies in integrating pre-calculated margin management with a multi-layer exit system, transforming the traditional high-risk Martingale approach into a controlled, calculated growth engine. The strategy aims for sustainable compound growth of small capitals (e.g., 1000U) in ranging markets while systematically eliminating the risk of account blow-up.
Core Concept: The "No-Loss" Guarantee
Unlike conventional Martingale systems that risk infinite losses, this strategy pre-calculates and logically reserves the total margin required for all potential layers (configurable, e.g., up to 30) at the initial entry. This ensures sufficient capital is always available for the next averaging order, preventing liquidation due to margin shortage. Combined with intelligent, proactive take-profit and safety-net closures, it creates a theoretically "No-Loss" framework for the Martin Gale method.
Key Mechanisms
1、Smart Position Averaging:
Averaging distances expand geometrically (configurable multiplier), preventing rapid layer depletion during sharp drops.
Averaging order size increases progressively (configurable multiplier) to effectively lower the break-even point.
2、Dynamic Multi-Stage Exit Logic:
Rebound TP: Partially closes a position when price rebounds a certain percentage from its entry, locking in profits early during oscillations.
Cycle TP: Closes the remaining position upon reaching the primary profit target, which is dynamically recalculated after each average to reflect the new aggregate cost.
Safety-Net Close (Defense Mode): Activates after a defined number of averages. Triggers a full exit if price: a) rallies significantly from the lowest point, b) retraces from a recent high, or c) fails to make a new low within a set time. This forms the final protective layer for capital preservation.
Main Advantages
✅ True Risk Isolation: Transforms Martingale's "unlimited risk" into a "defined and manageable drawdown" via pre-calculated margins and safety-net exits.
✅ Active Profit Capture: The "Rebound TP" mechanism increases win rate and capital efficiency in ranging markets.
✅ Adaptive to Volatility: Adjustable parameters for averaging distance and size allow tuning for different market conditions.
✅ High-Frequency Compounding Potential: Operates on the 15-min timeframe, offering numerous opportunities to complete profit cycles in consolidating phases.
Configuration & Parameters
Key adjustable inputs include: Initial Capital %, Averaging Distance % and Multiplier, Order Size Multiplier, Max Layers, Take-Profit %, Rebound Close %, and all Defense Mode thresholds.
This strategy significantly reduces liquidation risk through its design but does not eliminate trading risk. Substantial drawdowns can occur during strong, sustained trends. "No-Loss" refers to prevention of margin-call liquidation, not guaranteed profitability. Always conduct thorough backtesting and forward testing in a simulated environment before committing real capital. Past performance is not indicative of future results. Trade responsibly.
Kinetic Scalper [BULLBYTE]KINETIC SCALPER - ADVANCED MOMENTUM & CONFLUENCE TRADING SYSTEM
A SOPHISTICATED MULTI-FACTOR ANALYSIS INDICATOR FOR PRECISION ENTRIES
The Kinetic Scalper is a comprehensive trading analysis tool that combines volume-weighted momentum calculations, multi-oscillator divergence detection, and a proprietary 15-factor confluence scoring system to identify high-probability reversal setups across all timeframes.
WHAT MAKES THIS INDICATOR ORIGINAL
This is NOT a simple mashup of existing indicators.
The Kinetic Scalper features a completely custom momentum engine called the "Kinetic Pulse" - a volume-weighted momentum oscillator with Fisher Transform normalization that fundamentally differs from standard RSI or other momentum indicators. Every component feeds into a unified algorithmic framework designed specifically for this system.
KEY INNOVATIONS:
KINETIC PULSE ENGINE
Unlike standard RSI which uses simple price changes, the Kinetic Pulse applies:
→ Volume weighting to price movements (high-volume moves carry more weight)
→ EMA smoothing instead of traditional SMA (faster response to changes)
→ Fisher Transform normalization for improved signal clarity
→ Adaptive period adjustment based on current volatility regime
→ Result: A momentum oscillator that responds to conviction, not just price noise
15-FACTOR CONFLUENCE SCORING SYSTEM
Every signal is graded based on the number of confirming factors present:
→ Momentum position (oversold/overbought extremes)
→ Momentum velocity (direction change confirmation)
→ Momentum acceleration (strength of reversal)
→ Multi-oscillator divergence (price vs. 3 oscillators)
→ Volume confirmation (above-average participation)
→ Volume delta analysis (buying vs. selling pressure)
→ Higher timeframe alignment (trend confirmation from larger timeframe)
→ Session timing (major forex session awareness)
→ Structure clearance (clear path to profit targets)
→ Support/resistance proximity (confluence with key levels)
→ Market regime filtering (trending vs. choppy conditions)
Signals are graded A+, A, or B based on how many factors align:
• CONSERVATIVE MODE: A+ requires 12+ factors, A requires 9+, B requires 7+
• BALANCED MODE: A+ requires 10+ factors, A requires 7+, B requires 5+
• AGGRESSIVE MODE: A+ requires 8+ factors, A requires 5+, B requires 3+
TRADE ANALYSIS STATE MACHINE
A sophisticated monitoring system that tracks trade conditions in real-time using:
→ 5-state analysis framework (Factors Aligned / Positive Bias / Mixed Signals / Factors Weakening / Negative Bias)
→ Hysteresis-based transitions (different thresholds to enter vs. exit states)
→ Confidence smoothing with EMA (reduces noise, prevents flip-flopping)
→ Minimum commitment periods before state changes
→ Override logic for significant events (near TP/SL, momentum reversals)
→ Result: Stable, actionable guidance that doesn't change on every bar
INSTRUMENT-AWARE CALIBRATION
Automatically detects what you're trading and applies optimized parameters:
→ Forex Majors: Standard ATR, high session weight
→ Forex Crosses: Tighter stops, moderate session weight
→ Crypto: Wider stops (1.8x multiplier), reduced session weight (24/7 markets)
→ Indices: Moderate-wide stops, high session weight
→ Commodities: Moderate stops, moderate session weight
WHAT THIS INDICATOR DOES
The Kinetic Scalper is designed to identify high-confluence reversal opportunities by analyzing multiple dimensions of market behavior simultaneously.
CORE FUNCTIONS:
1. SIGNAL GENERATION
→ Identifies potential reversal points at oversold/overbought extremes
→ Confirms with multi-oscillator divergence detection
→ Validates with volume, higher timeframe, and structural analysis
→ Filters out low-probability setups automatically
→ Grades signals based on total confluence factors present
2. AUTOMATED TRADE TRACKING
→ Calculates structure-based or ATR-based stop loss levels
→ Projects take profit targets using risk-to-reward ratios
→ Monitors live position status (P/L, distance to targets, R-multiple)
→ Tracks TP1 and TP2 hits automatically
→ Displays outcome markers (TP HIT, PARTIAL WIN, STOPPED)
3. REAL-TIME CONDITION MONITORING
→ Analyzes 6 factor categories during active trades
→ Provides confidence scoring (0-100 scale)
→ Generates actionable guidance based on current market state
→ Alerts when conditions deteriorate or improve
→ Helps with trade management decisions
4. COMPREHENSIVE MARKET ANALYSIS
→ Session detection (Asian, London, New York, Overlap)
→ Volatility regime identification (Low, Normal, High, Extreme)
→ Trend state classification (Trending Up/Down, Ranging, Transitioning)
→ Volume analysis (relative volume and delta approximation)
→ Choppiness filtering (blocks signals in ranging markets)
WHY USE THIS INDICATOR
PROBLEM: Most momentum indicators generate too many false signals at extremes.
SOLUTION: The Kinetic Scalper requires MULTIPLE confirming factors before generating a signal, dramatically reducing noise and focusing on high-confluence setups.
ADVANTAGES:
✓ QUALITY OVER QUANTITY
→ Signal grading ensures you can filter for only the highest-quality setups
→ A+ signals have 10-12+ confirming factors aligned
→ Cooldown periods prevent over-trading the same move
✓ COMPLETE TRADE FRAMEWORK
→ Entry signals with confluence justification
→ Calculated stop loss based on market structure or ATR
→ Two profit targets with clear risk-to-reward ratios
→ Live trade monitoring with factor analysis
→ Outcome tracking and visual markers
✓ ADAPTIVE TO MARKET CONDITIONS
→ Volatility-based period adjustment for momentum calculations
→ Instrument-specific ATR multipliers
→ Session awareness for forex traders
→ Higher timeframe trend filtering
→ Automatic regime detection (trending vs. choppy)
✓ TRANSPARENT METHODOLOGY
→ Every input has detailed tooltips explaining its purpose
→ Signal tooltips show exactly why a signal was generated
→ Dashboard displays all relevant market conditions
→ Factor scores are visible during trades
→ No "black box" mystery calculations
✓ NON-REPAINTING & RELIABLE
→ All signals use barstate.isconfirmed (only on closed bars)
→ Higher timeframe data uses lookahead_off with historical offset
→ No future data access or repainting behavior
→ What you see is what you get - signals don't disappear or move
HOW THE INDICATOR WORKS
SIGNAL GENERATION PROCESS:
STEP 1: MOMENTUM ANALYSIS
The Kinetic Pulse engine calculates volume-weighted momentum:
→ Price changes are weighted by volume ratio vs. 20-bar average
→ High-volume moves have more influence on the oscillator
→ Gains and losses are smoothed using EMA (not SMA like RSI)
→ Fisher Transform is applied for normalization to 0-100 scale
→ Result: Momentum reading that emphasizes conviction, not noise
STEP 2: REVERSAL DETECTION
The indicator looks for potential reversal conditions:
→ Kinetic Pulse reaching oversold zone (below dynamic lower threshold)
→ Momentum velocity turning positive after being negative (for longs)
→ OR bullish divergence detected on multiple oscillators
→ Price making lower lows while oscillators make higher lows = divergence
STEP 3: MULTI-OSCILLATOR DIVERGENCE CONFIRMATION
Divergence is validated across three sources:
→ Kinetic Pulse divergence
→ CCI divergence
→ Stochastic divergence
→ Multiple oscillators confirming divergence increases signal reliability
STEP 4: CONFLUENCE FACTOR SCORING
The system evaluates all 15 possible confirming factors:
→ Momentum position: Is pulse oversold/overbought? (+0 to +2 points)
→ Momentum direction: Is velocity reversing? (+0 to +2 points)
→ Momentum acceleration: Is reversal strengthening? (+0 to +1 point)
→ Divergence count: How many oscillators show divergence? (+0 to +2 points)
→ Volume strength: Is volume above 1.3x average? (+0 to +1 point)
→ Volume delta: Is cumulative delta positive/negative? (+0 to +1 point)
→ HTF alignment: Does higher timeframe support direction? (+0 to +2 points)
→ Session timing: Is it a prime trading session? (+0 to +1 point)
→ Clear air: Is path to targets clear of obstacles? (+0 to +1 point)
→ Structure confluence: Are we near support/resistance? (+0 to +1 point)
→ Market regime: Is market trending, not choppy? (+0 to +1 point)
Total possible score: 15 points
Minimum for signal: 3-12 points depending on sensitivity mode
STEP 5: FILTER VALIDATION
Before generating a signal, additional checks are performed:
→ Volume must be above minimum threshold (if filter enabled)
→ Higher timeframe must not oppose the signal direction (if filter enabled)
→ Target path must be clear of major resistance/support (if filter enabled)
→ Volatility must not be EXTREME (blocks signals in chaos)
→ Risk-to-reward ratio must meet minimum requirement
→ Cooldown period must have elapsed since last signal
STEP 6: SIGNAL GRADING
If all filters pass, the signal is graded based on score:
→ A+ Grade: Highest confluence (8-12+ factors depending on sensitivity)
→ A Grade: High confluence (5-9+ factors)
→ B Grade: Moderate confluence (3-7+ factors)
Only graded signals (A+, A, or B) are displayed.
STEP 7: TRADE LEVEL CALCULATION
Stop loss and targets are calculated automatically:
STOP LOSS METHODS:
• Structure-Based: Uses recent swing low/high with ATR buffer, constrained by min/max ATR limits
• ATR-Based: Pure ATR multiplier with min/max constraints
• Fixed ATR: Simple ATR multiplier, no adjustments
TARGET CALCULATION:
• TP1: Entry ± (Stop Distance × Target 1 R:R)
• TP2: Entry ± (Stop Distance × Target 2 R:R)
• Default: TP1 at 1.0 R:R (1:1), TP2 at 2.0 R:R (1:2)
STEP 8: TRADE MONITORING
Once a signal is taken, the indicator tracks:
→ Current P/L in ticks and R-multiples
→ Distance to each target in ATR units
→ Distance to stop loss in ATR units
→ TP1 hit detection (marks with label, updates lines)
→ TP2 hit detection (closes trade, marks outcome)
→ Stop loss hit detection (closes trade, differentiates partial vs. full loss)
STEP 9: FACTOR ANALYSIS (DURING TRADES)
The Trade Analysis Panel monitors 6 key factor categories:
→ Momentum: Is momentum still aligned with trade direction? (-15 to +15 pts)
→ Position: Current R-multiple position (-12 to +12 pts)
→ Volume: Is volume still supportive? (-6 to +6 pts)
→ HTF Alignment: Does HTF still support trade? (-6 to +8 pts)
→ Target Proximity: How close are we to targets? (0 to +10 pts)
→ Stop Proximity: Are we dangerously close to stop? (-15 to +3 pts)
Raw scores are summed and smoothed using 5-bar EMA to create Confidence Score (0-100).
STEP 10: STATE MACHINE TRANSITIONS
Based on smoothed confidence, the system transitions between 5 states:
→ FACTORS ALIGNED (72+): Everything looks good
→ POSITIVE BIAS (58-72): Conditions favorable
→ MIXED SIGNALS (48-58): Neutral conditions
→ FACTORS WEAKENING (22-48): Concerning signals
→ NEGATIVE BIAS (<22): Poor conditions
Hysteresis prevents rapid flipping between states (different entry/exit thresholds).
RECOMMENDED TIMEFRAMES & INSTRUMENTS
TIMEFRAME VERSATILITY:
Despite the name "Scalper," this indicator works on ALL timeframes:
✓ LOWER TIMEFRAMES (1m - 15m)
→ Ideal for: Scalping and very short-term trades
→ Expect: More signals, faster trades, requires active monitoring
→ Best for: Forex majors, liquid crypto pairs
→ Tip: Use Conservative sensitivity to reduce noise
✓ MID TIMEFRAMES (15m - 1H)
→ Ideal for: Intraday trading and day trading
→ Expect: Moderate signal frequency, 1-4 hour trade duration
→ Best for: Forex, indices, major crypto
→ Tip: Balanced sensitivity works well here
✓ HIGHER TIMEFRAMES (4H - Daily)
→ Ideal for: Swing trading and position trading
→ Expect: Fewer signals, higher-quality setups, multi-day trades
→ Best for: All instruments
→ Tip: Can use Aggressive sensitivity for more opportunities
INSTRUMENT COMPATIBILITY:
✓ FOREX MAJORS (EUR/USD, GBP/USD, USD/JPY, etc.)
→ Auto-detected or manually select "Forex Major"
→ Session filtering is highly valuable here
→ London/NY overlap generates best signals
✓ FOREX CROSSES (EUR/GBP, AUD/NZD, etc.)
→ Auto-detected or manually select "Forex Cross"
→ Slightly tighter stops applied automatically
→ Session weight reduced vs. majors
✓ CRYPTOCURRENCIES (BTC, ETH, SOL, etc.)
→ Auto-detected or manually select "Crypto"
→ Wider stops (1.8x multiplier) due to volatility
→ Session filtering less relevant (24/7 markets)
→ Works well on both spot and perpetual futures
✓ INDICES (S&P 500, NASDAQ, DAX, etc.)
→ Auto-detected or manually select "Index"
→ Session opens (NY, London) are important
→ Moderate stop widths applied
✓ COMMODITIES (Gold, Silver, Oil, etc.)
→ Auto-detected or manually select "Commodity"
→ Moderate stops and session awareness
→ Works well on both spot and futures
VISUAL ELEMENTS EXPLAINED
SIGNAL MARKERS:
The indicator offers 3 display styles (choose in settings):
• PREMIUM STYLE (Default)
→ Signal appears below/above candles with connecting line
→ Background panel with grade badge (LONG , SHORT , etc.)
→ Entry price displayed
→ Direction arrow pointing to entry candle
→ Most informative, best for detailed analysis
• MINIMAL STYLE
→ Simple dot marker with grade text next to it
→ Clean, unobtrusive design
→ Best for mobile devices or cluttered charts
→ Less visual noise
• CLASSIC STYLE
→ Diamond marker with grade badge below/above
→ Traditional indicator aesthetic
→ Good balance between info and simplicity
ALL STYLES INCLUDE:
→ Signal tooltips with complete trade plan details
→ Grade display (A+, A, or B)
→ Color coding (bright colors for A+, standard for A/B)
SIGNAL TOOLTIP CONTENTS:
When you hover over any signal marker, you'll see:
→ Signal direction and grade
→ Confluence score (actual points vs. required)
→ Reason for signal (divergence type, reversal pattern)
→ Complete trade plan (Entry, Stop, TP1, TP2)
→ Risk in ticks
→ Risk-to-reward ratios
→ Market conditions at signal (Pulse value, HTF status, Volume, Session)
TRADE LEVEL LINES:
When Trade Tracking is enabled:
• ENTRY LINE (Yellow/Gold)
→ Solid horizontal line at entry price
→ Shaded zone around entry (±ATR buffer)
→ Label showing entry price
→ Extends 20-25 bars into future
• STOP LOSS LINE (Orange/Red)
→ Dashed line at stop level
→ Label showing stop price and distance in ticks
→ Turns dotted and changes color after TP1 hit (breakeven implied)
→ Deleted when trade closes
• TAKE PROFIT 1 LINE (Blue)
→ Dotted line at TP1 level
→ Label showing price and R:R ratio (e.g., "1:1.0")
→ Turns solid and changes to green when hit
→ Deleted after TP1 hit
• TAKE PROFIT 2 LINE (Blue)
→ Solid line at TP2 level
→ Label showing price and R:R ratio (e.g., "1:2.0")
→ This is the "full win" target
→ Deleted when trade closes
OUTCOME MARKERS:
When trade milestones are reached:
• - Green label appears when first target is touched
• - Green label when second target is touched (trade complete)
• - Red label if stop loss hit before any target
• - Orange label if TP1 hit but then stopped out
PREVIOUS DAY LEVELS:
If enabled (Show Previous Day Levels):
• PDH (Previous Day High) - Solid red/orange line
→ Label shows "PDH: "
→ Useful resistance reference for intraday trading
• PDL (Previous Day Low) - Solid green line
→ Label shows "PDL: "
→ Useful support reference for intraday trading
BACKGROUND TINTS:
Subtle background colors indicate states:
→ Light green tint: Active long position being tracked
→ Light red tint: Active short position being tracked
→ Light orange tint: Extreme volatility warning (signals blocked)
DASHBOARD GUIDE
The indicator features TWO dashboard panels:
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MAIN DASHBOARD (Top Right by default)
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WHEN NO TRADE IS ACTIVE:
→ Bias: Current market bias (BULLISH, BEARISH, NEUTRAL, LEAN LONG/SHORT)
→ Based on Kinetic Pulse position and velocity
→ Helps you understand overall momentum direction
→ Pulse: Current Kinetic Pulse value (0-100 scale)
→ <30 = Oversold (potential long setups developing)
→ >70 = Overbought (potential short setups developing)
→ 40-60 = Neutral zone
→ Volatility: Current volatility regime (LOW, NORMAL, HIGH, EXTREME)
→ Calculated from ATR ratio vs. 100-period average
→ EXTREME volatility blocks all signals (too chaotic)
→ Trend: Market state classification
→ TREND UP / TREND DOWN: ADX > 25, directional movement clear
→ RANGING: ADX < 20, choppy conditions
→ TRANSITIONING: ADX 20-25, developing conditions
→ VOLATILE: Extreme ATR regime
→ Session: Current forex session
→ ASIAN (00:00-08:00 UTC)
→ LONDON (07:00-16:00 UTC)
→ NEW YORK (13:00-22:00 UTC)
→ LDN/NY (13:00-16:00 UTC) - Overlap period, highest volatility
→ OFF-HOURS: Outside major sessions
→ Volume: Current volume vs. 20-bar average
→ Displayed as multiplier (e.g., "1.45x" = 45% above average)
→ Green if >1.3x (high volume, bullish for signal quality)
→ Red if <0.8x (low volume, bearish for signal quality)
→ HTF: Higher timeframe analysis status
→ BULLISH: HTF momentum supports longs
→ BEARISH: HTF momentum supports shorts
→ NEUTRAL: No clear HTF direction
→ Best Score: Highest confluence score currently available
→ Shows both long and short scores
→ Format: " / "
→ Example: "8/7 " means long score is 8, threshold is 7, long is leading
→ Helps you anticipate which direction might signal next
→ PDH/PDL: Previous day high and low prices
→ Quick reference for intraday support/resistance
WHEN TRADE IS ACTIVE:
→ Trade: Direction and grade (e.g., "LONG ")
→ Entry: Entry price of current trade
→ P/L: Current profit/loss
→ Shown in ticks and R-multiples
→ Format: "+45 | +0.75R" or "-20 | -0.35R"
→ Green when positive, red when negative
→ TP1: First target status
→ Shows price and distance if not hit
→ Shows "HIT" in green if reached
→ TP2: Second target price and distance
→ Stop: Stop loss price and current distance from stop
→ Bars: Number of bars since entry (trade duration)
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
TRADE ANALYSIS PANEL (Bottom Left by default)
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
This panel provides algorithmic analysis of market conditions. It does NOT provide investment advice or recommendations.
WHEN NO TRADE IS ACTIVE:
Shows scanning status and signal readiness:
→ Long/Short Readiness Gauges
→ Visual bar showing proximity to signal threshold
→ Score display (e.g., "8/7" means 8 points scored, 7 needed)
→ "RDY" indicator when threshold reached
→ Status Messages
→ "Scanning for setups..." - Normal scanning mode
→ "Long setup ready - cooldown: X bars" - Signal qualified but in cooldown
→ "Oversold conditions - watch for reversal" - Setup developing
→ "Choppy conditions detected" - Warning about market state
→ "Extreme volatility - signals blocked" - Safety filter active
WHEN TRADE IS ACTIVE:
Header shows current analysis state:
→ FACTORS ALIGNED (Green) - Everything looks good, confidence 72+
→ POSITIVE BIAS (Light Green) - Conditions favorable, confidence 58-72
→ MIXED SIGNALS (Blue) - Neutral conditions, confidence 48-58
→ FACTORS WEAKENING (Orange) - Concerning signals, confidence 22-48
→ NEGATIVE BIAS (Red) - Poor conditions, confidence <22
Confidence Score:
→ Displayed as percentage (0-100%)
→ Visual gauge (|||||.....)
→ Trend indicator (Rising, Falling, Stable)
→ Shows momentum of confidence change
Factor Breakdown (if enabled):
Shows 6 factor categories with individual scores:
→ Momentum: Is momentum aligned with trade? (-15 to +15 points)
→ Positive if velocity matches trade direction
→ Negative if momentum opposes trade
→ Position: Current R-multiple analysis (-12 to +12 points)
→ Positive if trade is in profit
→ Negative if underwater
→ Score increases as profit grows
→ Volume: Is volume supportive? (-6 to +6 points)
→ Positive if volume above average
→ Negative if volume weak
→ HTF Align: Higher timeframe status (-6 to +8 points)
→ Positive if HTF still supports trade direction
→ Negative if HTF turned against trade
→ Target: Proximity to profit targets (0 to +10 points)
→ Higher score when approaching targets
→ Bonus if TP1 already hit and near TP2
→ Stop Dist: Distance from stop loss (-15 to +3 points)
→ Negative if dangerously close to stop (<0.3 ATR)
→ Positive if well away from stop (>1.5 ATR)
Each factor shows:
• Score value with +/- indicator
• Trend symbol: + (improving), - (deteriorating), = (stable)
• Visual gauge
Guidance Messages:
→ "TARGET 2 APPROACHING" - TP2 within 0.3 ATR
→ "TARGET 1 APPROACHING" - TP1 within 0.3 ATR
→ "STOP PROXIMITY WARNING" - Stop within 0.3 ATR
→ "Factors aligned - Holding" - Positive state, stay in trade
→ "Conditions favorable" - Still looking good
→ "Conditions mixed - " - Neutral assessment
→ "Factors deteriorating" - Warning of weakening setup
→ "Confluence weakening - secure gains" - Consider exit if profitable
COMPACT MODE (Mobile-Friendly):
→ Reduces panel size by showing only essential info
→ Factor icons instead of full breakdowns
→ Simplified guidance messages
→ Perfect for smaller screens
SETTINGS GUIDE
MASTER SETTINGS:
Instrument Type
→ Purpose: Optimizes ATR multipliers and session weights for your asset
→ Options: Auto-Detect (recommended), Forex Major, Forex Cross, Crypto, Index, Commodity
→ Default: Auto-Detect
→ When to change: If auto-detection is incorrect for your symbol
Signal Sensitivity
→ Purpose: Controls how many factors required before generating signals
→ Options:
• Conservative: Requires 12+ for A+, 9+ for A, 7+ for B (fewer, highest quality)
• Balanced: Requires 10+ for A+, 7+ for A, 5+ for B (recommended)
• Aggressive: Requires 8+ for A+, 5+ for A, 3+ for B (more frequent)
→ Default: Balanced
→ When to change: If you want fewer signals (Conservative) or more opportunities (Aggressive)
Enable Trade Signals
→ Purpose: Master on/off switch for signal generation
→ Default: ON
→ When to disable: If you only want to use the analysis dashboards without signals
Enable Trade Tracking
→ Purpose: Tracks active trades and monitors conditions until TP/SL hit
→ Default: ON
→ When to disable: If you manage trades manually and don't want automatic tracking
Show Entry/Stop/Target Levels
→ Purpose: Displays trade plan lines and labels on chart
→ Default: ON
→ When to disable: If you prefer clean charts or manage levels yourself
DISPLAY SETTINGS:
Color Theme
→ Purpose: Optimizes colors for your chart background
→ Options: Dark (for dark charts), Light (for light charts)
→ Default: Dark
Signal Display Style
→ Purpose: Visual style of signal markers
→ Options:
• Premium: Badge with line and background panel (most detailed)
• Minimal: Simple dot with grade text (cleanest)
• Classic: Diamond marker with badge (traditional)
→ Default: Premium
Signal Distance
→ Purpose: How far signal labels appear from price bars (in ATR units)
→ Range: 0.5 to 10.0
→ Default: 2.0
→ When to adjust: Increase to 3.0-4.0 if signals hide behind candle wicks
TP/SL Label Distance
→ Purpose: Spacing of price labels to prevent overlap
→ Range: 0.5 to 5.0
→ Default: 1.5
Show Previous Day Levels
→ Purpose: Display PDH/PDL reference lines
→ Default: ON
→ Best for: Intraday traders who respect previous day levels
MAIN DASHBOARD:
Show Main Dashboard
→ Purpose: Toggle visibility of market conditions table
→ Default: ON
Main Dashboard Position
→ Options: Top Right, Top Left, Bottom Right, Bottom Left
→ Default: Top Right
→ When to change: To avoid overlap with TradingView's built-in panels
TRADE ANALYSIS PANEL:
Show Trade Analysis Panel
→ Purpose: Toggle factor analysis dashboard
→ Default: ON
Analysis Panel Position
→ Options: Top Right, Top Left, Bottom Right, Bottom Left, Middle Right, Middle Left
→ Default: Bottom Left
→ Recommended: Bottom Right or Middle Right to avoid overlap with Main Dashboard
Compact Mode
→ Purpose: Reduces panel size for mobile or smaller screens
→ Default: OFF
→ When to enable: Mobile trading, small screens, or minimalist preference
Show Factor Details
→ Purpose: Displays individual factor scores vs. overall confidence only
→ Default: ON
→ When to disable: For more compact view showing only state and confidence
RISK MANAGEMENT:
Stop Loss Method
→ Purpose: How stop loss distance is calculated
→ Options:
• Structure-Based: Uses swing highs/lows with ATR buffer (recommended)
• ATR-Based: Pure ATR multiplier with min/max constraints
• Fixed ATR: Simple multiplier, no adjustments
→ Default: Structure-Based
→ Impact: Structure-Based respects market geometry but constrains within safe limits
ATR Stop Multiplier
→ Purpose: Multiplier for ATR-based stop calculation
→ Range: 0.5 to 3.0
→ Default: 1.5
→ When to adjust:
• Increase to 2.0-2.5 for more breathing room (fewer false stops)
• Decrease to 1.0-1.2 for tighter stops (but more stop-outs)
Maximum Stop Distance (ATR)
→ Purpose: Cap on stop width to prevent excessive risk
→ Range: 1.0 to 5.0
→ Default: 2.5
→ Impact: If structure-based stop exceeds this, ATR-based stop is used instead
Minimum Stop Distance (ATR)
→ Purpose: Floor on stop width to avoid noise-induced stops
→ Range: 0.2 to 1.0
→ Default: 0.5
→ Impact: Prevents stops too tight to survive normal volatility
Target 1 Risk/Reward Ratio
→ Purpose: R:R for first profit target
→ Range: 0.5 to 2.0
→ Default: 1.0 (1:1 ratio)
→ Common values: 1.0 for quick profit taking, 1.5 for patient trading
Target 2 Risk/Reward Ratio
→ Purpose: R:R for second profit target (full win)
→ Range: 1.0 to 4.0
→ Default: 2.0 (1:2 ratio)
→ Common values: 2.0-3.0 for balanced risk/reward
Minimum R:R Required
→ Purpose: Filters out signals with poor risk/reward
→ Range: 0.5 to 2.0
→ Default: 1.0
→ Impact: Signals where potential reward doesn't meet this ratio are rejected
→ WARNING: Always ensure your position sizing means a stop loss = no more than 1-2% of your account, regardless of R:R ratio
SIGNAL FILTERS:
Session Awareness
→ Purpose: Weights signals higher during major forex sessions
→ Default: ON
→ Impact: Doesn't block signals, but session quality factors into scoring
→ Best for: Forex traders
Session Timezone
→ Purpose: Timezone for session calculations
→ Options: UTC, America/New_York, Europe/London, Asia/Tokyo, Asia/Hong_Kong
→ Default: UTC
→ When to change: Match your broker's server time
Higher Timeframe Alignment
→ Purpose: Checks HTF momentum before generating signals
→ Default: ON
→ Impact: Filters counter-trend signals, improves quality
→ Recommended: Keep enabled
HTF Timeframe
→ Purpose: Which higher timeframe to check
→ Default: Auto (blank field)
→ Auto selection:
• 1m chart → 5m HTF
• 5m chart → 15m HTF
• 15m chart → 1H HTF
• 1H chart → 4H HTF
• 4H+ chart → Daily HTF
→ Manual override: Enter any timeframe (e.g., "60" for 1-hour)
Volume Confirmation
→ Purpose: Requires above-average volume for signals
→ Default: ON
→ Impact: Filters low-liquidity false signals
→ Recommended: Keep enabled
Minimum Volume Ratio
→ Purpose: Volume threshold vs. 20-bar average
→ Range: 0.3 to 2.0
→ Default: 0.8 (80% of average)
→ When to adjust:
• Increase to 1.2-1.5 for only high-volume signals
• Decrease to 0.5-0.7 for more permissive filtering
Structure Clearance Check
→ Purpose: Ensures clear path to targets (no nearby resistance/support)
→ Default: ON
→ Impact: Prevents trades with immediate obstacles
→ Recommended: Keep enabled
Minimum Bars Between Signals
→ Purpose: Cooldown period after each signal
→ Range: 1 to 10
→ Default: 3
→ Impact: After a signal, this many bars must pass before another in same direction
→ When to adjust:
• Increase to 5-7 to prevent over-trading
• Decrease to 1-2 for faster re-entries
ADVANCED TUNING:
Momentum Period
→ Purpose: Base period for Kinetic Pulse calculation
→ Range: 5 to 30
→ Default: 14
→ When to adjust:
• Lower (8-10): More responsive, noisier
• Higher (18-21): Smoother, slower to react
→ Note: If Adaptive Period enabled, this is adjusted automatically
Adaptive Period
→ Purpose: Auto-adjusts momentum period based on volatility
→ Default: ON
→ Impact: Shortens period in high volatility, lengthens in low volatility
→ Recommended: Keep enabled for automatic optimization
Divergence Lookback
→ Purpose: How far back to search for divergence patterns
→ Range: 10 to 60
→ Default: 30
→ When to adjust:
• Shorter (15-20): Only recent divergences
• Longer (40-50): Catches older divergences (may be less relevant)
Swing Detection Bars
→ Purpose: Bars required on each side to confirm swing high/low
→ Range: 2 to 7
→ Default: 3
→ Impact on stops:
• Lower (2-3): More swing points, potentially tighter stops
• Higher (5-7): Only major swings, wider stops
Choppiness Index Threshold
→ Purpose: Threshold above which market considered choppy
→ Range: 38.2 to 80.0
→ Default: 61.8
→ Impact:
• Lower (50-55): Stricter quality filter (fewer signals in ranging markets)
• Higher (65-70): More permissive (allows signals in choppier conditions)
HOW TO READ SIGNALS
SIGNAL ANATOMY:
When a signal appears, you'll see:
1. DIRECTIONAL MARKER
→ Arrow, dot, or diamond pointing to entry candle (depends on style)
→ Positioned below price for LONG, above price for SHORT
→ Connected to price with line (Premium style)
2. GRADE BADGE
→ Displays signal quality: LONG , SHORT , etc.
→ Color coding:
• Bright green/cyan for A+ longs
• Standard green for A/B longs
• Bright pink/magenta for A+ shorts
• Standard red for A/B shorts
3. ENTRY PRICE (Premium style only)
→ Shows exact entry price at signal generation
4. TOOLTIP (all styles)
→ Hover over signal to see complete trade plan
→ Includes: Entry, Stop, TP1, TP2, Risk, R:R ratios, market conditions, signal reason, confluence score
INTERPRETING GRADES:
→ A+ SIGNALS (Highest Quality)
• 8-12+ confirming factors aligned
• Multiple divergences OR strong momentum reversal
• HTF alignment + volume + session timing + clear structure
• These are your highest-probability setups
• Recommended action: Give these priority, consider larger position size
→ A SIGNALS (High Quality)
• 5-9+ confirming factors aligned
• Good confluence, most key factors present
• Missing 1-2 optimal conditions
• These are still quality trades
• Recommended action: Standard position size, solid setups
→ B SIGNALS (Moderate Quality)
• 3-7+ confirming factors aligned
• Minimum viable confluence
• May be missing HTF alignment, volume, or session timing
• Higher variance outcomes
• Recommended action: Smaller position size or skip if conservative
SIGNAL NARRATIVE:
Each signal tooltip includes a narrative explaining WHY it was generated:
→ "Multi-divergence at oversold extreme"
• Multiple oscillators showing bullish divergence
• Kinetic Pulse in oversold zone
• High-quality reversal setup
→ "Bullish divergence near support"
• Divergence detected
• Price near key support level (swing low or PDL)
• Structure confluence
→ "Momentum reversal with HTF alignment"
• Kinetic Pulse velocity reversing
• Higher timeframe supports direction
• Strong trend-following setup
→ "Oversold momentum reversal"
• Extreme Kinetic Pulse reading reversing
• May not have divergence but strong momentum shift
READING THE TRADE PLAN:
Every signal comes with a complete trade plan:
→ ENTRY: The close price of the signal candle
• This is where the signal triggered
• If using limit orders, you might improve on this price
→ STOP: Calculated stop loss level
• Based on your Stop Loss Method setting
• Distance shown in ticks
• Risk tolerance: Ensure this represents ≤1-2% of your account
→ TP1: First profit target
• Default: 1:1 risk-reward
• This is your partial profit or first exit
• Consider taking 50% off at TP1
→ TP2: Second profit target
• Default: 1:2 risk-reward
• This is your "full win" target
• Hold remaining position for this level
SIGNAL FREQUENCY EXPECTATIONS:
Frequency varies by timeframe, sensitivity, and market conditions:
→ AGGRESSIVE MODE
• Lower timeframes (1m-5m): 5-15 signals per day
• Mid timeframes (15m-1H): 2-5 signals per day
• Higher timeframes (4H-D): 1-3 signals per week
→ BALANCED MODE (Default)
• Lower timeframes: 3-8 signals per day
• Mid timeframes: 1-3 signals per day
• Higher timeframes: 2-5 signals per week
→ CONSERVATIVE MODE
• Lower timeframes: 1-4 signals per day
• Mid timeframes: 0-2 signals per day
• Higher timeframes: 1-3 signals per week
Note: Frequency also depends on market volatility and trending vs. ranging conditions.
Example - Kinetic Scalper Trade Sequence
Here's an example showing the complete trade lifecycle with all dashboard transitions, annotations, and descriptions.
INSTRUMENT & TIMEFRAME DETAILS
Symbol: Nifty 50 Index (NSE)
Date: December 15, 2025
Session: London session (active trading hours)
Instrument Type: Index (auto-detected)
TRADE SEQUENCE BREAKDOWN
SCREENSHOT 1: Pre-Signal Setup Building (Image 1)
Time: ~12:00-14:30 UTC+5:30(approx.)
Price Action: Uptrend showing signs of exhaustion near 26,200
Market State: Price at session highs
Main Dashboard (Top Right):
- Bias: LEAN SHORT
- Pulse: 58.9 (approaching overbought)
- Volatility: NORMAL
- Trend: TRANSITIONING
- Session: LONDON (favorable timing)
- Volume: 0.98x (slightly below average)
- HTF: BULLISH (caution for counter-trend)
- Best Score: 9/5 (Short score building)
- PDH/PDL: 26098.25 / 25938.95
Trade Analysis Panel (Bottom Left):
- Status: NO ACTIVE TRADE
- Long Score: 5/5 (RDY)
- Short Score: 9/5 (RDY)
- Panel Message: "Short pattern developing - score: 9"
Description :
Setup Development Phase: The indicator identifies a potential short opportunity as price reaches the previous day's high. The short confluence score has climbed to 9/15 points, meeting the 'Balanced' sensitivity threshold for a Grade B signal. Notice the 'LEAN SHORT' bias and the Kinetic Pulse reading of 58.9 approaching overbought territory. The Trade Analysis panel shows 'Short pattern developing' with 9/5 factors aligned. Key factors: momentum approaching reversal zone, price at resistance (PDH), and London session providing favorable conditions.
SCREENSHOT 2: Signal Generated & Trade Entered (Image 2)
Time: ~13:00 UTC+5:30 (signal bar)
Entry Price: 26,184.65
Signal Grade: Grade
Main Dashboard (Top Right):
- Trade: SHORT
- Entry: 26184.65
- P/L: 5.95 pts | +0.2R (early positive movement)
- TP1: 26157.00 (33.2 pts away)
- TP2: 26129.35 (60.84 pts away)
- Stop: 26212.30 (22.1 pts away)
- Bars: 1 (just entered)
Trade Analysis Panel (Bottom Left):
- Header: TRADE ANALYSIS
- Status Bar: "Conditions mixed - improving 57%"
- Confidence: 57% RISING
- Factor Breakdown:
- Momentum: -4 (velocity not yet aligned)
- Position: +4 (slight profit)
- Volume: +2 = (volume present)
- HTF Align: +2 = (not strongly aligned)
- Target: +0 - (far from TP)
- Stop Dist: +3 - (good distance)
- Bottom Status: "Conditions mixed - Monitoring"
- Disclaimer: "Analysis only - Not financial advice"
Description:
Signal Activation: A Grade A short signal triggers at 26,184.65 after the short confluence score reached qualifying levels. The indicator places a structure-based stop loss at 26,212.30 (27.65 points risk) with dual targets at 1:1 and 1:2 risk-reward ratios.
The Trade Analysis Panel immediately begins monitoring with an initial confidence score of 57% - classified as 'MIXED SIGNALS' but showing a 'RISING' trend. Factor analysis reveals: momentum not yet aligned (-4 points as price just reversed), position slightly favorable (+4 points already +0.2R), volume adequate (+2), HTF showing weak alignment (+2 as we're counter-trend), stop well-placed (+3), but targets still distant (0 points).
Notice how the Main Dashboard switches from market scanning mode to active trade tracking, now displaying entry price, live P/L in both points (5.95 pts) and R-multiples (+0.2R), and distances to all key levels. The analysis panel provides real-time factor scoring to help monitor trade health.
SCREENSHOT 3: TP1 Hit - Trade Performing Well (Image 3)
Time: ~14:20 UTC+5:30(approx)
Price: ~26,154 (TP1 zone)
Bars in Trade: 29
Main Dashboard (Top Right):
- Trade: SHORT
- Entry: 26184.65
- P/L: 30.85 pts | +1.12R (excellent progress)
- TP1: HIT (displayed in green)
- TP2: 26129.35 (24.44 pts away)
- Stop: 26212.30 (58.5 pts away - well protected)
- Bars: 29
Trade Analysis Panel (Bottom Left):
- Header: TRADE ANALYSIS
- Status Bar: "Multiple factors positive"
- Confidence: 78% RISING
- Factor Breakdown:
- Momentum: +8 = (ALIGNED)
- Position: +8 + (strong profit zone)
- Volume: +2 + (continued support)
- HTF Align: +8 = (now strongly aligned)
- Target: +10 + (TP1 achieved, approaching TP2)
- Stop Dist: +3 + (excellent cushion)
- Bottom Status: "Multiple factors positive"
- Visual State: Green background (FACTORS ALIGNED state)
Description:
Trade Execution Phase - First Target Achieved: After 29 bars , price reaches the first take-profit target at 26,157.00. The ' ' marker confirms partial profit taking. Current P/L shows +30.85 points (+1.12R), exceeding the initial 1:1 risk-reward.
The Trade Analysis Panel shows dramatic improvement - confidence has surged to 78% (FACTORS ALIGNED state) with most factors now positive:
- Momentum factor improved to +8 (velocity aligned with trade direction)
- Position factor at +8 (over +1R profit zone)
- HTF Align jumped to +8 (higher timeframe now confirming the move)
- Target factor maxed at +10 (TP1 achieved, TP2 within reach)
- Stop Distance at +3 (58.5 points cushion providing safety)
Notice the panel status displays 'Multiple factors positive' with a green-tinted background, indicating optimal trade conditions. The confidence trend shows 'RISING' suggesting continued momentum. With TP1 secured and only 24.44 points to TP2, the trade is well-positioned for a full 1:2R win.
SCREENSHOT 4: TP2 Reached - Trade Complete (Image 4)
Time: ~15:00+ UTC+5:30
Final Exit: 26,129.35 (TP2)
Final Result: Full TP2 win
Main Dashboard (Top Right):
- Bias: NEUTRAL (reverted to scanning mode)
- Pulse: 45.2 (returned to neutral zone)
- Volatility: NORMAL
- Trend: TREND DOWN (confirmed the move)
- Session: LONDON
- Volume: 1.26x (increased as move developed)
- HTF: BEARISH (fully aligned post-trade)
- Best Score: 5/5 (neutral after completion)
Trade Analysis Panel (Bottom Left):
- Status: NO ACTIVE TRADE (reverted)
- Long Score: 5/5 (RDY)
- Short Score: 5/5 (RDY)
- Panel Message: "Scanning - prime session active"
- Light blue/cyan background (back to scanning mode)
Description:
Trade Completion - Full Target Achieved: The short trade reaches its second take-profit target at 26,129.35, securing a complete 1:2 risk-reward win. The ' ' marker confirms the exit. Final results:
- Entry: 26,184.65
- Exit: 26,129.35
- Profit: 55.30 points (approximately +2.0R)
- Outcome: Full TP2 success
Post-Trade Analysis: After trade closure, the indicator automatically returns to market scanning mode. The Main Dashboard reverts to showing market conditions rather than trade metrics. Notice how the 'Trend' now displays 'TREND DOWN' - confirming the move we captured. Volume increased to 1.26x during the winning move, validating the signal quality.
The Trade Analysis Panel switches back to 'NO ACTIVE TRADE' status and resumes displaying long/short setup scores. The confidence-based factor monitoring was instrumental throughout the trade:
- Initial entry at 57% confidence (MIXED SIGNALS)
- Peak confidence of 78% at TP1 (FACTORS ALIGNED)
- Real-time factor updates helped confirm trade validity
This example demonstrates the indicator's complete workflow: setup identification → signal generation → entry execution → live trade monitoring → systematic exit at targets.
KEY FEATURES DEMONSTRATED
1. Dual Dashboard System
- Main Dashboard: Market conditions (scanning) → Trade metrics (active position)
- Analysis Panel: Setup scores (scanning) → Factor-based confidence (in-trade)
2. Visual Trade Management
- Color-coded entry zones (yellow)
- Risk levels clearly marked (red dashed stop)
- Profit targets with R:R ratios labeled
- Achievement markers ( , )
3. Real-Time Factor Analysis
- 6-factor scoring system (Momentum, Position, Volume, HTF, Target, Stop Dist)
- Confidence percentage with trend indicators
- State machine (MIXED → FACTORS ALIGNED)
- Hysteresis prevents false state changes
4. Risk Management
- Structure-based stop placement (respects swing highs)
- Multiple take-profit levels (1:1 and 1:2 R:R)
- Live P/L tracking in points and R-multiples
- Distance monitoring to all key levels
This complete example showcases the indicator's progression from setup identification through trade completion, demonstrating how the dual-dashboard system and factor-based analysis provide continuous trade guidance. The structured stop-loss and dual-target approach delivered the planned 1:2 risk-reward ratio with systematic, rule-based execution.
ALERT SYSTEM
The indicator includes 9 built-in alert conditions:
SIGNAL ALERTS:
→ High-Grade Long Signal (A+)
• Triggers only on A+ long signals
• For traders who want only the highest-quality longs
• Message: "KINETIC SCALPER: LONG @ "
→ High-Grade Short Signal (A+)
• Triggers only on A+ short signals
• For traders who want only the highest-quality shorts
• Message: "KINETIC SCALPER: SHORT @ "
→ Long Signal
• Triggers on ANY qualified long signal (A+, A, or B)
• For traders who want all long opportunities
• Message: "KINETIC SCALPER: LONG @ "
→ Short Signal
• Triggers on ANY qualified short signal
• For traders who want all short opportunities
• Message: "KINETIC SCALPER: SHORT @ "
TRADE MANAGEMENT ALERTS:
→ TP1 Hit
• Triggers when first profit target is reached
• Useful for partial profit taking notifications
• Message: "KINETIC SCALPER: TP1 REACHED"
→ TP2 Reached
• Triggers when second profit target is reached
• Trade is complete, full win achieved
• Message: "KINETIC SCALPER: TP2 REACHED"
→ Stop Loss Hit
• Triggers when stop loss is reached
• Important for trade management and risk tracking
• Message: "KINETIC SCALPER: STOP LOSS"
ANALYSIS STATE ALERTS:
→ Analysis State: Negative Bias
• Triggers when factor analysis enters "Negative Bias" state
• Warning that trade conditions are deteriorating
• Consider reducing position or preparing to exit
• Message: "KINETIC SCALPER: Analysis state changed to NEGATIVE BIAS"
→ Analysis State: Factors Weakening
• Triggers when factor analysis enters "Factors Weakening" state
• Caution that confluence is diminishing
• Monitor trade closely
• Message: "KINETIC SCALPER: Analysis state changed to FACTORS WEAKENING"
HOW TO SET UP ALERTS:
1. Click the "Create Alert" button in TradingView
2. Condition: Select "Kinetic Scalper "
3. Choose your desired alert from the dropdown
4. Configure your alert options:
→ Once Per Bar Close (recommended for non-repainting)
→ Frequency: Once Per Bar Close or Only Once
5. Set expiration and notification methods (popup, email, webhook, etc.)
6. Create alert
RECOMMENDED ALERT STRATEGY:
For active traders:
→ Set "Long Signal" and "Short Signal" alerts for all opportunities
→ Set "TP1 Hit", "TP2 Reached", and "Stop Loss Hit" for trade management
→ Consider "Analysis State: Negative Bias" for trade monitoring
For selective traders:
→ Set only "High-Grade Long Signal (A+)" and "High-Grade Short Signal (A+)"
→ Focus on the absolute highest-quality setups
→ Set TP/SL alerts for position management
USAGE TIPS & BEST PRACTICES
SIGNAL SELECTION:
✓ GRADE MATTERS
→ A+ signals have statistically more confluence factors
→ If you're conservative, trade only A+ signals
→ B signals can work but require more discretion
✓ CONFLUENCE WITH YOUR ANALYSIS
→ Use this indicator as CONFIRMATION, not sole decision criteria
→ Combine with your own support/resistance analysis
→ Check for fundamental events (news, economic data)
→ Respect major round numbers and psychological levels
✓ SESSION TIMING (Forex)
→ Best signals often occur during London/NY overlap
→ Avoid signals 10 minutes before major news releases
→ Asian session signals can be valid but lower liquidity
✓ TIMEFRAME CONFLUENCE
→ If you get an A+ signal on 15m, check if 1H chart agrees
→ Higher timeframe confirmation adds conviction
→ Avoid signals that oppose the daily/4H trend
TRADE MANAGEMENT:
✓ POSITION SIZING
→ ALWAYS size positions so stop loss = 1-2% of account
→ Never risk more than you can afford to lose
→ Smaller position on B signals, standard on A, larger on A+ (within limits)
✓ PARTIAL PROFIT TAKING
→ Consider taking 50% off at TP1
→ Move stop to breakeven after TP1 hit
→ Let remaining position run to TP2
✓ TRAILING STOPS
→ The indicator doesn't auto-trail stops (manual decision)
→ After TP1, you might manually move stop to entry (breakeven)
→ Consider ATR-based trailing stop for runners
✓ WATCH THE ANALYSIS PANEL
→ If state changes to "Factors Weakening" while in profit, consider exit
→ "Negative Bias" during a trade is a strong warning
→ "Factors Aligned" confirms your trade thesis is still valid
RISK MANAGEMENT:
✓ NEVER IGNORE STOPS
→ The calculated stop is there for a reason
→ Moving stop further away increases risk exponentially
→ If stopped out, accept it and wait for next setup
✓ AVOID REVENGE TRADING
→ If you get stopped out, resist urge to immediately re-enter
→ Signal cooldown helps with this
→ Wait for next qualified signal
✓ RESPECT VOLATILITY WARNINGS
→ If indicator shows "EXTREME" volatility, signals are blocked for a reason
→ Don't force trades in chaotic conditions
→ Wait for regime to normalize
✓ CORRELATION RISK
→ Be aware of correlation if trading multiple pairs
→ EUR/USD and GBP/USD are highly correlated
→ Don't stack risk on correlated instruments
OPTIMIZATION:
✓ START WITH DEFAULTS
→ Default settings are well-tested
→ Don't over-optimize for recent market behavior
→ Give settings at least 20-30 trades before judging
✓ TIMEFRAME-SPECIFIC ADJUSTMENTS
→ Lower timeframes: Consider increasing Signal Distance to 3.0-4.0
→ Higher timeframes: ATR Stop Multiplier might go to 2.0-2.5
→ Crypto: Ensure Instrument Type is set to "Crypto" for proper stops
✓ SENSITIVITY CALIBRATION
→ Too many signals? Switch to Conservative
→ Missing good setups? Try Balanced or Aggressive
→ Quality > Quantity always
✓ KEEP A JOURNAL
→ Track which signal grades work best for you
→ Note which sessions produce best results
→ Review stopped trades for patterns
THINGS TO AVOID:
✗ DON'T chase signals after several bars have passed
✗ DON'T ignore the stop loss or move it further away
✗ DON'T overtrade by taking every B-grade signal
✗ DON'T trade during major news if you're not experienced
✗ DON'T use this as your only analysis tool
✗ DON'T expect 100% win rate (no indicator has this)
✗ DON'T risk more than 1-2% per trade regardless of signal grade
UNDERSTANDING THE METHODOLOGY
WHY VOLUME WEIGHTING?
Traditional momentum oscillators treat all price moves equally. A 10-point move on low volume is weighted the same as a 10-point move on high volume.
The Kinetic Pulse corrects this by:
→ Calculating volume ratio vs. 20-bar average
→ Applying square root transformation to volume ratio (prevents extreme weights)
→ Multiplying price changes by volume weight
→ Result: High-volume moves influence the oscillator more than low-volume noise
This helps filter false breakouts and emphasizes moves with participation.
WHY FISHER TRANSFORM?
Fisher Transform is a mathematical transformation that:
→ Normalizes probability distributions
→ Creates sharper turning points
→ Amplifies extremes while compressing the middle
→ Makes overbought/oversold levels more distinct
Applied to the Kinetic Pulse, it helps identify genuine extremes vs. noise.
WHY MULTI-OSCILLATOR DIVERGENCE?
Single-source divergence can give false signals. By requiring divergence confirmation across multiple oscillators (Kinetic Pulse, CCI, Stochastic), the system filters out:
→ Divergences caused by calculation quirks in one oscillator
→ Temporary momentum anomalies
→ False divergence on noisy, low-timeframe charts
Multiple sources confirming the same pattern increases reliability.
WHY ADAPTIVE PERIODS?
Fixed periods can be:
→ Too slow during high volatility (miss fast reversals)
→ Too fast during low volatility (generate noise)
The adaptive system:
→ Shortens period when ATR ratio > 1.3 (high volatility = need faster response)
→ Lengthens period when ATR ratio < 0.7 (low volatility = need noise filtering)
→ Keeps period in reasonable range (60% to 140% of base period)
→ Result: Oscillator adjusts to current market pace automatically
WHY HYSTERESIS IN STATE MACHINE?
Without hysteresis, the analysis state would flip-flop on every bar, creating:
→ Confusing, contradictory guidance
→ Analysis paralysis
→ Lack of actionable information
Hysteresis solves this by:
→ Using different thresholds to ENTER vs. EXIT a state
→ Example: Enter "Factors Aligned" at 72+ confidence, but don't exit until <62
→ This creates stable states that persist through minor fluctuations
→ Requires minimum commitment period (3 bars) before state changes
→ Overrides commitment for significant events (near TP/SL)
→ Result: Stable, trustworthy analysis that changes only when truly warranted
WHY CONFIDENCE SMOOTHING?
Raw factor scores fluctuate bar-by-bar based on momentary conditions. Smoothing:
→ Uses 5-period EMA on raw confidence scores
→ Filters out single-bar anomalies
→ Preserves genuine trends in confidence
→ Prevents false state transitions
→ Result: More reliable assessment of actual trade health
WHY INSTRUMENT-SPECIFIC PARAMETERS?
Different instruments have different characteristics:
→ Forex is highly liquid, respects technical levels well, standard ATR works
→ Crypto is extremely volatile, needs wider stops (1.8x) to avoid false stops
→ Indices respect session opens strongly, session weighting is important
→ Commodities fall in between
Auto-detection applies research-based multipliers automatically.
WHY STRUCTURE-BASED STOPS?
ATR-based stops can:
→ Place stop in middle of consolidation (easily hit)
→ Ignore obvious invalidation levels
→ Be too tight during expansion or too wide during contraction
Structure-based stops:
→ Use actual swing highs/lows (where traders actually place stops)
→ Add small ATR buffer to avoid stop hunting
→ Constrain within min/max ATR limits for safety
→ Result: Stops that respect market geometry while managing risk
DISCLAIMER & RISK WARNING
READ THIS CAREFULLY BEFORE USING THIS INDICATOR
This indicator is provided for EDUCATIONAL and INFORMATIONAL purposes only.
❌ NOT FINANCIAL ADVICE
This indicator does NOT constitute financial advice, investment recommendations, or solicitation to buy or sell any financial instrument. All information is for educational purposes only.
❌ NO GUARANTEES
→ Past performance does NOT guarantee future results
→ No indicator can predict future price movements with certainty
→ Signal grades represent confluence, NOT win probability
→ A+ signals can lose, B signals can win - markets are probabilistic
❌ SUBSTANTIAL RISK
Trading financial instruments involves SUBSTANTIAL RISK of loss:
→ You can lose your entire investment
→ Leveraged trading amplifies both gains AND losses
→ Never trade with money you cannot afford to lose
→ Never risk more than 1-2% of your account per trade
❌ YOUR RESPONSIBILITY
→ All trading decisions are YOUR responsibility
→ You must conduct your own analysis before entering trades
→ Consult a licensed financial advisor before trading
→ Understand the risks specific to your jurisdiction and situation
→ Only trade with capital you can afford to lose completely
❌ NO HOLY GRAIL
→ This indicator is a TOOL, not a complete trading system
→ It should be used as part of a broader analysis framework
→ Combine with your own technical analysis, risk management, and judgment
→ No indicator works 100% of the time in all market conditions
❌ ANALYSIS PANEL DISCLAIMER
The "Trade Analysis Panel" provides ALGORITHMIC ANALYSIS of market factors.
→ It does NOT provide investment advice or recommendations
→ Factor scores are mathematical calculations, not predictions
→ Guidance messages are informational, not directives
→ All trading decisions remain your responsibility
❌ BACKTESTING LIMITATIONS
→ This is an indicator, not a strategy, so no backtesting results are provided
→ Any backtesting you perform includes hindsight bias and optimization bias
→ Historical performance does not indicate future performance
→ Slippage, commissions, and real-world execution differ from backtests
❌ MARKET CONDITIONS
→ This indicator performs differently in trending vs. ranging markets
→ Extreme volatility can produce false signals or whipsaws
→ Low liquidity periods increase execution risk
→ Major news events can invalidate technical analysis
BY USING THIS INDICATOR, YOU ACKNOWLEDGE:
→ You have read and understood this disclaimer
→ You accept full responsibility for your trading decisions
→ You understand the substantial risks involved in trading
→ You will not hold the author liable for any losses incurred
→ You are using this tool as part of your own due diligence process
KEY FEATURES SUMMARY
✅ Volume-Weighted Kinetic Pulse Engine (proprietary momentum calculation)
✅ 15-Factor Confluence Scoring System (graded signals: A+, A, B)
✅ Multi-Oscillator Divergence Detection (Pulse + CCI + Stochastic)
✅ Higher Timeframe Trend Alignment Filter
✅ Adaptive Period Adjustment (volatility-responsive)
✅ Instrument-Aware Calibration (Forex, Crypto, Indices, Commodities)
✅ Structure-Based Stop Loss Calculation (respects swing highs/lows)
✅ Automated Trade Tracking (entry, stop, TP1, TP2, P/L)
✅ Real-Time Factor Analysis State Machine (5-state system with hysteresis)
✅ Session Awareness (Asian, London, New York, Overlap)
✅ Volatility Regime Detection (blocks signals in extreme conditions)
✅ Choppiness Filter (reduces signals in ranging markets)
✅ Volume Confirmation (relative volume and delta analysis)
✅ Clean Air Check (validates clear path to targets)
✅ Comprehensive Dashboards (market conditions + trade analysis)
✅ Customizable Display (3 signal styles, color themes, positioning)
✅ 9 Built-In Alert Conditions (signals, TP/SL hits, state changes)
✅ Fully Non-Repainting (barstate.isconfirmed, lookahead_off)
✅ Previous Day Levels (PDH/PDL reference lines)
✅ Mobile-Friendly Compact Mode (for smaller screens)
TECHNICAL SPECIFICATIONS
→ Pine Script Version: v6
→ Indicator Type: Overlay (displays on price chart)
→ License: Mozilla Public License 2.0
→ Copyright: BULLBYTE
→ Object Limits: 300 labels, 100 lines, 50 boxes
→ Memory Management: Automatic cleanup system (FIFO queue)
→ Repainting: Non-repainting (signals confirmed on bar close)
→ Timeframe Support: All timeframes (1s to Monthly)
→ Instrument Support: Forex, Crypto, Indices, Commodities, Stocks
→ HTF Data Handling: lookahead_off with historical offset
VERSION HISTORY
v1.0 - Initial Release
→ Kinetic Pulse engine with volume weighting and Fisher Transform
→ 15-factor confluence scoring system
→ Trade analysis state machine with hysteresis
→ Automated trade tracking and monitoring
→ Dual dashboard system (market conditions + factor analysis)
→ 9 alert conditions
→ 3 signal display styles
→ Instrument-aware calibration
→ Full risk management framework
WHO IS THIS INDICATOR FOR?
IDEAL FOR:
✓ Scalpers and day traders seeking high-confluence reversal entries
✓ Swing traders who want quality over quantity
✓ Traders who appreciate systematic, rules-based analysis
✓ Multi-timeframe traders who value HTF confirmation
✓ Forex traders who respect session timing
✓ Crypto traders needing volatility-adjusted parameters
✓ Traders who want complete trade management (entry, stop, targets)
✓ Analytical traders who want transparency in signal generation
NOT IDEAL FOR:
✗ Traders seeking a "set and forget" holy grail system
✗ Traders who don't want to learn the methodology
✗ Traders unwilling to accept losing trades as part of the process
✗ Traders who need constant signals (this is a quality-focused system)
✗ Traders who ignore risk management
FINAL THOUGHTS
The Kinetic Scalper is the result of extensive research into momentum behavior, volume confirmation, and multi-factor confluence analysis. It's designed to identify high-probability reversal setups while maintaining strict risk management and providing complete transparency.
This is NOT a magic solution. It's a sophisticated TOOL that requires:
→ Understanding of the methodology
→ Proper risk management discipline
→ Patience to wait for quality setups
→ Willingness to accept losses as part of trading
→ Integration with your own analysis and judgment
Used properly as part of a complete trading plan, the Kinetic Scalper can help you identify high-confluence opportunities and manage trades systematically.
Remember: Quality over quantity. Discipline over emotion. Risk management over everything.
Trade smart. Trade safe.
© 2025 BULLBYTE | Kinetic Scalper v1.0 | For Educational Purposes Only






















