VWAP Volume Profile [BigBeluga]🔵 OVERVIEW
VWAP Volume Profile is an advanced hybrid of the VWAP and volume profile concepts. It visualizes how volume accumulates relative to VWAP movement—separating rising (+VWAP) and declining (−VWAP) activity into two mirrored horizontal profiles. It highlights the dominant price bins (POCs) where volume peaked during each directional phase, helping traders spot hidden accumulation or distribution zones.
🔵 CONCEPTS
VWAP-Driven Profiling: Unlike standard volume profiles, this tool segments volume based on VWAP movement—accumulating positive or negative volume depending on VWAP slope.
Dual-Sided Profiles: Profiles expand horizontally to the right of price. Separate bins show rising (+) and falling (−) VWAP volume.
Bin Logic: Volume is accumulated into defined horizontal bins based on VWAP’s position relative to price ranges.
Gradient Coloring: Volume bars are colored with a dynamic gradient to emphasize intensity and direction.
POC Highlighting: The highest-volume bin in each profile type (+/-) is marked with a transparent box and label.
Contextual VWAP Line: VWAP is plotted and dynamically colored (green = rising, orange = falling) for instant trend context.
Candle Overlay: Price candles are recolored to match the VWAP slope for full visual integration.
🔵 FEATURES
Dual-sided horizontal volume profiles based on VWAP slope.
Supports rising VWAP , falling VWAP , or both simultaneously.
Customizable number of bins and lookback period.
Dynamically colored VWAP line to show rising/falling bias.
POC detection and labeling with volume values for +VWAP and −VWAP.
Candlesticks are recolored to match VWAP bias for intuitive momentum tracking.
Optional background boxes with customizable styling.
Adaptive volume scaling to normalize bar length across markets.
🔵 HOW TO USE
Use POC zones to identify high-volume consolidation areas and potential support/resistance levels.
Watch for shifts in VWAP direction and observe how volume builds differently during uptrends and downtrends.
Use the gradient profile shape to detect accumulation (widening volume below price) or distribution (above price).
Use candle coloring for real-time confirmation of VWAP bias.
Adjust the profile period or bin count to fit your trading style (e.g., intraday scalping or swing trading).
🔵 CONCLUSION
VWAP Volume Profile merges two essential concepts—volume and VWAP—into a single, high-precision tool. By visualizing how volume behaves in relation to VWAP movement, it uncovers hidden dynamics often missed by traditional profiles. Perfect for intraday and swing traders who want a more nuanced read on market structure, trend strength, and volume flow.
在腳本中搜尋"scalping"
WaveLab Gold Edition – Smart Scalper AI v2 For beginner and professional traders alike, this tool is designed for those seeking precise signals during fast market moves.
It relies on a powerful combination of momentum analysis, market structure, and volume dynamics to detect critical interaction moments with the prevailing trend.
🔸 Entry signals react to:
Crosses of sensitive Exponential Moving Averages (EMA)
MACD momentum alignment with RSI filtering
Intelligent sideways market filtering to reduce noise
Strong confirmation signals triggered by volume shifts
✨ Visual signals appear directly on the candle when all alignment conditions are met.
🧠 Built specifically to support short-term decision-making on lower timeframes (scalping) — no complex manual tuning required.
✅ This tool is for technical analysis only and does not constitute financial advice or guaranteed results.
📩 For updates and support:
Telegram Support – Dr. Yamen WaveLab
BTCUSD Support-Resistence (by Mestre dos Traders 2025))BTCUSD Support-Resistence Trade Indicator (by Mestre dos Traders 2025)
Description of the "News Trade Zones Indicator (by Mestre dos Traders 2025)"
This advanced indicator was designed to assist traders in identifying strategic support and resistance zones during volatile market conditions, especially around major economic news events. It combines automated technical analysis with optional manual configuration for entry, take-profit, and stop-loss levels, providing robust visual guidance directly on the TradingView chart.
Key Features
Initial Alert Message
When the indicator is first added to the chart, a highlighted message appears for 30 seconds warning the user to adjust the values, date, and time in the settings panel. This ensures that lines and labels are accurately placed on the chart.
Strategic Zone Definition
Resistance Zone: A user-defined level that represents the breakout point for a potential upward move.
Support Zone: A user-defined level for potential downward breakouts.
Pre-News Price: A reference price before the news event, plotted as a continuous orange line for contextual analysis.
Manual Entry and Target Configuration
Traders can enable manual mode to define entry price, three Take Profit levels (TP1, TP2, TP3), and Stop Loss (SL). These are drawn on the chart with coloured lines and identifying labels for clear visual planning.
If manual mode is disabled, these levels are calculated automatically based on the current price and trend direction (determined using the 50 EMA).
Visual Plotting of Zones and Levels
The indicator draws horizontal lines with labels for:
Entry (blue line)
TP1, TP2, TP3 (green lines)
Stop Loss (red line)
These levels remain visible for the user-defined duration, helping traders clearly visualise the critical points of a potential trade setup.
Support and Resistance Lines Over Last 24 Hours
The indicator plots dynamic horizontal lines for the defined resistance (red) and support (green) zones, extending across the last 24 hours for quick market context.
Touch & Breakout Detection with Cooldown
Automatically detects when price touches or breaks the support or resistance zones.
Displays labels such as "POSSIBLE BUY AT THIS POINT" or "POSSIBLE SELL AT THIS POINT".
In the case of a confirmed breakout, stronger signals like "BREAKOUT BUY NOW" or "BREAKOUT SELL NOW" are shown.
A cooldown period of 10 minutes is enforced to prevent label spamming.
Fake Breakout Visual Warning
The chart background becomes lightly coloured (red or green) when price is extremely close to the support or resistance zone, alerting the trader to potential fake breakouts.
On-Chart Information Table
A data table appears in the bottom-right corner, showing:
Estimated success rate (fixed at 70%)
Risk of failure (30%)
Current trend direction (UP or DOWN), with mention of manual mode status.
Custom Alerts for Key Zone Events
The indicator includes built-in alert conditions, enabling users to set automatic TradingView alerts when the price touches the support or resistance levels — ideal for real-time notifications.
Summary
The News Trade Zones Indicator is a visual and interactive tool designed to help traders plan entries, exits, and risk management around key market levels, particularly during high-impact news events. Whether using automatic calculations or manual setups, this indicator equips traders with clear signals, visual guides, and structured information — all directly on their TradingView charts.
Contacts:
TG.: @mestredostradersoficial
TG Support: @suportedomestretraders
Tiktok Channel: @Mestredostraders
Whatsapp Sales: +55 61 991371216
Micro Lion Trend Start Signal Micro Trend Start Signal is a lightweight trend-following indicator using EMA crossovers and RSI filters to catch early trend shifts. It shows clear Buy and Sell labels when momentum aligns with direction. Ideal for scalping or intraday trading. Clean, responsive, and designed for fast market entries.
Advanced Hurst Cycle + VTL + Turning Points| Timeframe | Cycle Base | Use Case | Notes |
| ------------ | ---------- | ------------------ | ------------------------- |
| 5-min | 16–20 bars | Intraday scalping | Tight SL, fast moves |
| 15-min / 1hr | 20–40 bars | Intraday to swing | Good for options intraday |
| Daily | 20–40 bars | Multi-day swings | Ideal for Futures/ST BTST |
| Weekly | 13–26 bars | Position/Investing | For macro turns |
Guide to Trading with JM Hurst Cycles in TradingView
1. What is JM Hurst Cycle Theory?
JM Hurst proposed that financial markets move in harmonically related cycles. These cycles can help traders
forecast turning points in markets using time-based analysis rather than just price.
Key Concepts:
- Cycle Nesting: Smaller cycles exist within larger ones.
- Harmonic Ratios: Each cycle is typically double the length of the smaller one (e.g., 20, 40, 80).
- Turning Points: When multiple cycles bottom together, strong reversals occur.
- Tools: FLD (Future Line of Demarcation), VTL (Valid Trend Lines).
2. TradingView Script Features
The provided Pine Script v5 implements:
- FLDs (shifted SMAs) for base and harmonic cycles.
- VTLs: Drawn between major pivot highs/lows to confirm trend reversals.
- Cycle Turning Points: Detected using pivot logic and cycle phase.
- Optional: Sine wave to visualize cycle rhythm.
Inputs:
- Base Cycle Length: Set the expected cycle duration (e.g., 20 bars).
- FLD/VTL/Turn toggles to customize chart view.
3. How to Trade with This Script
1. Set 'Base Cycle Length' to 20, 40, or 80 depending on your market and timeframe.
2. Watch for price crossing the FLD:
- Bullish Signal: Price crosses above FLD near cycle bottom.
- Bearish Signal: Price breaks below FLD near cycle top.
3. Use VTL for confirmation:
Guide to Trading with JM Hurst Cycles in TradingView
- Break of upward VTL from cycle lows = bearish shift.
- Break of downward VTL from cycle highs = bullish shift.
4. Use turning point markers:
- Triangle up (green): Probable cycle bottom - watch for long.
- Triangle down (red): Probable cycle top - prepare for exit or short.
Tips:
- Align multiple cycle lengths for stronger confirmation.
- Use with other technical indicators like RSI/MACD for confluence.
- Avoid trading just before major news events - cycles can distort.
4. Example Strategy
If base cycle is 20 bars:
- Wait for triangle up (cycle low) near FLD.
- Confirm price crosses above FLD.
- Ensure VTL from prior lows is intact or just broken upward.
- Enter long; set stop below recent low.
Opposite for shorts at triangle down + FLD break down + VTL break.
5. Final Notes
This script offers a time-based visual trading method inspired by JM Hurst. It's most powerful when used with
patience, confirmation, and alignment across cycles.
You can adjust cycle lengths or refine pivots based on your trading timeframe and asset class.
For best results, backtest cycle behavior on your instrument before live trading.
Smart Money Concepts Matrix (SMC)Smart Money Concepts – User Guide
This indicator is designed to visually map institutional price behavior using Smart Money Concepts (SMC). It includes Market Structure, Order Blocks, Fair Value Gaps, Liquidity Swings, and more. Below is a breakdown of each section and its settings.
1. Market Structure
Internal Structure
Draws dashed lines.
Labels include BOS+ (Break of Structure) and CHoCH+ (Change of Character) for internal trend shifts.
Swing Structure
Draws solid lines for major structure.
Labels include standard BOS and CHoCH for clear market structure shifts.
Swing Points
Displays significant Higher Highs (HH), Higher Lows (HL), Lower Highs (LH), Lower Lows (LL) directly on the chart.
Show Strong/Weak High/Low
Highlights the latest strong and weak swing highs/lows, helping you identify potential continuation or reversal points.
Show Trendline
Automatically plots trendlines following the swing structure (HH-HL for uptrend, LH-LL for downtrend).
2. Order Blocks
Swing Type
MS (Market Structure): Syncs with the major swing structure – useful for long-term analysis.
Swing: Detects short-term swings – ideal for scalping or intraday trades.
Length
Controls swing detection sensitivity.
Higher values detect larger, more significant swings.
Internal Buy/Sell Activity
Enables visualization of volumetric order blocks based on internal candle dynamics.
Show Breaker Blocks
Displays mitigated order blocks that can act as reversal zones or liquidity voids.
Hide Overlay
Removes overlapping order blocks, keeping only the most relevant ones visible for cleaner charts.
3. Fair Value Gaps (FVG)
Threshold
Filters out smaller, less relevant FVGs.
Higher threshold filters out smaller gaps, preserving only Fair Value Gaps with larger price imbalances.
Internal Buy/Sell Activity
Displays volumetric information inside the FVG, enhancing precision.
Inverse FVG
Plots mitigated FVGs (inverse), which can be potential liquidity zones.
Hide Overlay
Hides overlapping FVGs to keep only the most impactful ones on the chart.
Extend
Extends the FVG boxes forward in time until mitigated, providing ongoing trade reference zones.
4. Equal High / Equal Low
These often represent areas of resting liquidity and are used by institutions to trigger breakouts or reversals.
Bars Confirmation
Defines how many bars should confirm the equality.
Higher value = stricter match, longer-term relevance.
Threshold
Controls proximity sensitivity.
Lower value = more precise equality, fewer signals.
5. Liquidity Swings
Identifies swing points with potential liquidity pools where price might react.
Length
Adjusts swing sensitivity.
Higher = detects long-term swing points.
Threshold
Filters for relevance.
Higher = more valid liquidity areas.
Internal Activity
Displays how often price has revisited the swing zones, indicating their strength.
Show Metrics
Shows volume data and percentage move from liquidity zones for deeper insight.
6. Fibonacci Retracements
Automatically draws Fibonacci retracement levels based on the detected swing type.
Fibonacci Swing Type
MS OB Swing: Uses swings from Market Structure Order Blocks.
OB Swing: Uses swings from general Order Blocks.
Useful for planning entries and take-profits based on institutional logic.
Important Notes:
Smart Money Concepts Matrix is a tool to identify potential trading zones, not a guaranteed predictor of future price movements.
Always practice proper risk management techniques, including stop-loss orders.
Backtest this strategy on historical data to understand its effectiveness before risking real capital.
Vincent's EMA Alert Setup V3📊 EMA Cross Alert & Entry System – Precision Crypto Signals
This script is designed for traders who want clean, actionable signals based on Exponential Moving Average (EMA) crossovers. Whether you're scalping, day trading, or swing trading crypto, this tool helps you catch momentum shifts before the crowd.
🔍 Key Features:
Detects bullish and bearish EMA crossovers in real time
Automatically triggers alerts when crossover conditions are met (Long or Short bias)
Visually marks entry zones on the chart with precision
Compatible across multiple timeframes (1min, 5min, 15min, etc.)
Ideal for volatile, trending assets like BTC, ETH, XRP, SOL and more
🎯 How to Use:
Use the alerts as your entry confirmation, integrate them with your risk management system, or combine them with higher time frame analysis for optimal trade setups. This script adds clarity and structure to fast-paced crypto environments.
🔄 QuantSignals AI Reversal Pro🔄 QuantSignals AI Reversal Pro — 78%+ Win Rate Reversal Detection
🚀 Catch Market Tops & Bottoms with AI-Powered Precision!
This powerful script brings you professional-grade reversal signals—built on cutting-edge AI, smart confluence logic, and rigorous backtesting.
Whether you’re swing trading, scalping, or position trading, this tool is your new edge.
🎯 Why Traders Love QS AI Reversal Pro:
✅ 78%+ Win Rate on major timeframes (tested on S&P 500, tech stocks, crypto)
🔄 AI-powered oversold/overbought reversal detection
📊 Built-in divergence detection engine (RSI, price, volume)
⚖️ Mean reversion zones + VWAP extremes + Bollinger Band signals
💎 High-Probability Mode: Filters only A+ setups for premium entries
🧠 Confluence Engine: Assigns quality scores to each reversal
🔔 Smart Alerts: Reversal alerts + divergence + premium triggers
🏆 Live Win Rate Tracker on your chart with quality % dashboard
🧠 Powered by QuantSignals AI Engine
This is a limited free version of our proprietary 85%+ win rate reversal algorithm—join our Discord to unlock:
🔐 Institutional-level AI reversal strategy
📈 Real-time confluence dashboards across timeframes
🎯 Custom reversal alerts with entry/exit/stop targets
💬 Live strategy signals, backtests & expert community
💥 Perfect For:
🔁 Reversal traders (crypto, stocks, futures)
⏱ Scalpers & 15m–4H swing traders
📊 Mean reversion systems
🧪 Traders who want data-driven signal confidence
📌 How It Works:
Every signal is based on multi-layer confluence:
Oversold/Overbought + Divergence + VWAP/BB + Volume Surge
Optional: Only show signals with minimum Risk:Reward (e.g. 1:2.5)
Each signal is scored, and you’ll see real-time win rate on-screen
Reversal zones highlighted via color-coded backgrounds
📺 On-Chart Display:
🔄 BUY / SELL Reversal Labels (color-coded for high-probability)
📉 Divergence Lines (bullish & bearish)
🧮 Signal Quality % + Live Win Rate
⚠️ Alerts on all major events (standard + high-prob + divergence)
🔓 Upgrade to Premium (in Discord):
✅ Access full 85%+ win rate reversal model
🧠 AI pattern recognition engine
🔍 Multi-timeframe signal agreement
💡 Institutional order-flow reversal tracking
📊 Backtests + optimization support
🚨 Advanced alerts + automation-ready signals
📲 Join Our 1,800+ Member Community:
🌐 Website: quantsignals.xyz
💬 Discord: discord.gg/quantsignals
🎓 Learn the reversal strategies that top traders use
🔄 Start catching market reversals like a pro—install QS AI Reversal Pro today!
Note: This script is a visual indicator and not a strategy tester. For full backtest-ready premium strategy, please contact us on Discord.
BEST Indicator for Events (XAUUSD etc)(by Mestre dos Traders)BEST Indicator for Events (XAUUSD etc...) (by Mestre dos Traders @2025)
🧠 1. Customisable Economic Event Selection
Up to 10 editable events (e.g. Retail Sales, CPI, NFP, etc.)
Manual input of Forecast, Previous, and Actual values
Event selection via a numeric selector (0 to 9)
Precise event timestamp definition (with time zone support)
⚙️ 2. Automated Analysis and Signal Logic
Intelligent processing based on comparative logic:
Actual > Forecast & Previous → SELL
Actual < Forecast & Previous → BUY
Event strength classification based on the sum of Forecast + Actual
Categories: very weak, weak, moderate, strong, very strong, hyper strong
📊 3. Multi-layered Technical Confirmations
Optional signal confirmation using:
RSI (Overbought/Oversold conditions)
Volume (Above 20-period moving average)
Pullback (Price validation after signal trigger)
🎯 4. Trade Parameters
Configurable Take Profit levels: TP1, TP2, TP3 (%)
Configurable Stop Loss (%)
Dynamic calculation of Risk/Reward ratio (R/R)
Visual plotting of entry, SL, TPs, and labels on the chart
Automated entry with optional confirmation via pullback or event strength
🕒 5. Entry Timing Window & Duration
Entry validation within a configurable time window post-event
Custom line duration setting (in minutes, auto-converted to bars)
🧾 6. Visual and Statistical Event History
Real-time tracking of:
Total number of signals per event
Number of profitable trades
Hit Rate (%) per event
Average R/R ratio per setup
Simulated capital growth over time
Current and maximum drawdown per event
Visual tables (positioned at top_right and bottom_right)
Capital progression plotted on chart
🟢 7. Professional Visual Markings
Use of labels and lines for:
Entry points (ENTRY)
Pullbacks (PULLBACK BUY/SELL)
TP1 / TP2 / TP3 hit (PROFIT)
Stop Loss hit (LOSS)
Initial trade signal with strength classification (BUY / SELL + strength)
♻️ 8. Data Reset & Reinitialisation
Reset Data button to clear all visual elements and reinitialise variables
💼 9. Capital Simulation & Performance Metrics
Configurable initial capital
Profit calculation per TP level (weighted: 1, 2 or 3)
Tracking and display of cumulative capital
Capital history stored in dynamic array
Line plot of capital evolution over time
🧩 10. Modular Code Architecture
Efficient use of:
var for persistent data across bars
array for dynamic storage and retrieval
label and line for rich visual feedback
table for performance monitoring dashboards
✅ Conclusion: Why This Script is Professional and Effective
Highly Customisable > Adaptable to any macroeconomic event
Multifactorial Analysis > Integrates both fundamental and technical data (RSI, volume, pullback)
Robust Execution Logic > Executes trades only with multiple confirmations or strong event signals
Clear Visual Feedback > Lines and labels support faster, more confident decision-making
Comprehensive Performance Metrics > Real-time statistical and graphical analysis by event
Manual Backtest-Friendly > Visual signals and historical tracking allow easy retrospective validation
Contacts:
TG.: @mestredostradersoficial
TG Support: @suportedomestretraders
Tiktok Channel: @Mestredostraders
Whatsapp Sales: +55 61 991371216
BEST Indicator for R.S.M Events (by Mestre dos Traders)BEST Indicator for Events (XAUUSD etc...) (by Mestre dos Traders @2025)
🧠 1. Customisable Economic Event Selection
Up to 10 editable events (e.g. Retail Sales, CPI, NFP, etc.)
Manual input of Forecast, Previous, and Actual values
Event selection via a numeric selector (0 to 9)
Precise event timestamp definition (with time zone support)
⚙️ 2. Automated Analysis and Signal Logic
Intelligent processing based on comparative logic:
Actual > Forecast & Previous → SELL
Actual < Forecast & Previous → BUY
Event strength classification based on the sum of Forecast + Actual
Categories: very weak, weak, moderate, strong, very strong, hyper strong
📊 3. Multi-layered Technical Confirmations
Optional signal confirmation using:
RSI (Overbought/Oversold conditions)
Volume (Above 20-period moving average)
Pullback (Price validation after signal trigger)
🎯 4. Trade Parameters
Configurable Take Profit levels: TP1, TP2, TP3 (%)
Configurable Stop Loss (%)
Dynamic calculation of Risk/Reward ratio (R/R)
Visual plotting of entry, SL, TPs, and labels on the chart
Automated entry with optional confirmation via pullback or event strength
🕒 5. Entry Timing Window & Duration
Entry validation within a configurable time window post-event
Custom line duration setting (in minutes, auto-converted to bars)
🧾 6. Visual and Statistical Event History
Real-time tracking of:
Total number of signals per event
Number of profitable trades
Hit Rate (%) per event
Average R/R ratio per setup
Simulated capital growth over time
Current and maximum drawdown per event
Visual tables (positioned at top_right and bottom_right)
Capital progression plotted on chart
🟢 7. Professional Visual Markings
Use of labels and lines for:
Entry points (ENTRY)
Pullbacks (PULLBACK BUY/SELL)
TP1 / TP2 / TP3 hit (PROFIT)
Stop Loss hit (LOSS)
Initial trade signal with strength classification (BUY / SELL + strength)
♻️ 8. Data Reset & Reinitialisation
Reset Data button to clear all visual elements and reinitialise variables
💼 9. Capital Simulation & Performance Metrics
Configurable initial capital
Profit calculation per TP level (weighted: 1, 2 or 3)
Tracking and display of cumulative capital
Capital history stored in dynamic array
Line plot of capital evolution over time
🧩 10. Modular Code Architecture
Efficient use of:
var for persistent data across bars
array for dynamic storage and retrieval
label and line for rich visual feedback
table for performance monitoring dashboards
✅ Conclusion: Why This Script is Professional and Effective
Highly Customisable > Adaptable to any macroeconomic event
Multifactorial Analysis > Integrates both fundamental and technical data (RSI, volume, pullback)
Robust Execution Logic > Executes trades only with multiple confirmations or strong event signals
Clear Visual Feedback > Lines and labels support faster, more confident decision-making
Comprehensive Performance Metrics > Real-time statistical and graphical analysis by event
Manual Backtest-Friendly > Visual signals and historical tracking allow easy retrospective validation
Contacts:
TG.: @mestredostradersoficial
TG Support: @suportedomestretraders
Tiktok Channel: @Mestredostraders
Whatsapp Sales: +55 61 991371216
Sweep & Reclaim Indicator with Time, EMA & ATR FilterCandlestick structure scalping
With this model, you are looking for a sweep of a bearish candle, then that bullish candle closes back inside the range of the bearish candle and you buystop the reclaimed candles high. Vice versa for bearish. I like to use the candle low as stop targeting 1R or higher.
You also only want to take trades between 9:30-11:30AM EST, you want an ATR above 10, and a LTF EMA, I like the 10. Those are all attached as filters with this indicator.
Signal Quality Validator - Lite# Signal Quality Validator Lite - Technical Documentation
## Introduction
The Signal Quality Validator (SQV) Lite represents a comprehensive approach to technical signal validation, designed to evaluate trading opportunities through multi-dimensional market analysis. This indicator provides traders with objective quality assessments for their entry signals across various market conditions and timeframes.
## Core Architecture
### Component-Based Validation System
SQV Lite employs five fundamental market components, each contributing weighted scores to produce a final quality assessment. The system analyzes multiple market dimensions simultaneously to provide comprehensive signal validation.
Each component uses proprietary algorithms to evaluate specific market conditions:
- Directional bias and strength assessment
- Market participation and flow analysis
- Price acceleration patterns
- Key technical level identification
- Optimal volatility conditions
The final score represents a weighted combination of all components, with thresholds adjusted for different market conditions and timeframes.
## Scoring Methodology
### Quality Grades
- **Grade A+ (90-100)**: Exceptional setup quality with maximum component confluence
- **Grade A (80-89)**: High-quality signals suitable for full position sizing
- **Grade B (65-79)**: Acceptable signals meeting minimum validation criteria
- **Grade C (<65)**: Substandard conditions, signal rejected
### Timeframe Profiles
Pre-configured profiles optimize component weights and thresholds:
| Profile | Typical Use Case | Min/High/Perfect Scores |
|---------|------------------|------------------------|
| 1-5 min | Scalping | 60/75/85 |
| 15-30 min | Day Trading | 65/80/90 |
| 1H-4H | Intraday Swing | 70/85/95 |
| Daily+ | Position Trading | 75/88/95 |
| Custom | User Defined | Configurable |
## Integration Guide
### Standalone Usage
1. Add SQV Lite to your chart
2. Select appropriate timeframe profile
3. Monitor real-time quality grades on signal bars
4. Use dashboard for current market assessment
### Bidirectional Strategy Integration
SQV Lite supports complete two-way communication with your custom strategies, enabling sophisticated signal validation workflows.
#### Step 1: Setting Up Your Strategy to Send Signals
In your custom strategy/indicator, export your signals as plots:
```pinescript
//@version=6
indicator("My Custom Strategy", overlay=true)
// Your signal logic
longSignal = ta.crossover(ema9, ema21) // Example
shortSignal = ta.crossunder(ema9, ema21) // Example
// CRITICAL: Export signals for SQV to read
// Use display=display.none to hide the plots
plot(longSignal ? 1 : 0, "Long Signal Output", display=display.none)
plot(shortSignal ? 1 : 0, "Short Signal Output", display=display.none)
```
#### Step 2: Configure SQV Lite to Receive Signals
1. Add SQV Lite to the same chart as your strategy
2. In SQV Lite settings, enable "Use External Signals"
3. Click on "External Long Signal Source" and select your strategy's "Long Signal Output"
4. Click on "External Short Signal Source" and select your strategy's "Short Signal Output"
#### Step 3: Import SQV Validation Back to Your Strategy
Complete the bidirectional flow by importing SQV's validation results:
```pinescript
//@version=6
strategy("My Strategy with SQV Integration", overlay=true)
// Import SQV validation results
sqvScore = input.source(close, "SQV Score Source", group="SQV Integration")
sqvLongValid = input.source(close, "SQV Long Valid Source", group="SQV Integration")
sqvShortValid = input.source(close, "SQV Short Valid Source", group="SQV Integration")
sqvTradingMode = input.source(close, "SQV Trading Mode", group="SQV Integration")
// Your original signals
longSignal = ta.crossover(ema9, ema21)
shortSignal = ta.crossunder(ema9, ema21)
// Export for SQV
plot(longSignal ? 1 : 0, "Long Signal Output", display=display.none)
plot(shortSignal ? 1 : 0, "Short Signal Output", display=display.none)
// Use SQV validation in entry logic
if longSignal and sqvLongValid > 0
strategy.entry("Long", strategy.long)
// Optional: Use sqvScore for position sizing
if shortSignal and sqvShortValid > 0
strategy.entry("Short", strategy.short)
```
#### Step 4: Complete Integration Setup
After adding both scripts to your chart:
1. In your strategy settings → SQV Integration:
- Set "SQV Score Source" → Select SQV Lite: SQV Score
- Set "SQV Long Valid Source" → Select SQV Lite: SQV Long Valid
- Set "SQV Short Valid Source" → Select SQV Lite: SQV Short Valid
2. In SQV Lite settings → Signal Import:
- Enable "Use External Signals"
- Set "External Long Signal Source" → Select Your Strategy: Long Signal Output
- Set "External Short Signal Source" → Select Your Strategy: Short Signal Output
### Available Data Exports from SQV
```pinescript
// Core validation data
plot(currentTotalScore, "SQV Score", display=display.none) // 0-100
plot(sqvLongValid ? 1 : 0, "SQV Long Valid", display=display.none) // 0 or 1
plot(sqvShortValid ? 1 : 0, "SQV Short Valid", display=display.none) // 0 or 1
// Component scores for advanced usage
plot(currentTrendScore, "SQV Trend Score", display=display.none)
plot(currentVolumeScore, "SQV Volume Score", display=display.none)
plot(currentMomentumScore, "SQV Momentum Score", display=display.none)
plot(currentStructureScore, "SQV Structure Score", display=display.none)
plot(currentVolatilityScore, "SQV Volatility Score", display=display.none)
// Additional data
plot(orderFlowDelta, "SQV Order Flow Delta", display=display.none)
plot(tradingMode == "Long" ? 1 : tradingMode == "Short" ? -1 : 0, "SQV Trading Mode", display=display.none)
```
### Advanced Integration Examples
#### Example 1: Quality-Based Position Sizing
```pinescript
// In your strategy
sqvScore = input.source(close, "SQV Score Source", group="SQV Integration")
// Dynamic position sizing based on signal quality
positionSize = sqvScore >= 90 ? 3 : // A+ quality = 3 units
sqvScore >= 80 ? 2 : // A quality = 2 units
sqvScore >= 65 ? 1 : 0 // B quality = 1 unit
if longSignal and sqvLongValid > 0 and positionSize > 0
strategy.entry("Long", strategy.long, qty=positionSize)
```
#### Example 2: Filtering by Component Scores
```pinescript
// Import individual components
sqvTrend = input.source(close, "SQV Trend Score", group="SQV Integration")
sqvVolume = input.source(close, "SQV Volume Score", group="SQV Integration")
sqvMomentum = input.source(close, "SQV Momentum Score", group="SQV Integration")
// Custom filtering logic
strongTrend = sqvTrend > 80
goodVolume = sqvVolume > 70
strongSetup = strongTrend and goodVolume
if longSignal and sqvLongValid > 0 and strongSetup
strategy.entry("Strong Long", strategy.long)
```
#### Example 3: Order Flow Integration
```pinescript
// Import order flow data
sqvOrderFlow = input.source(close, "SQV Order Flow Delta", group="SQV Integration")
// Use order flow for additional confirmation
bullishFlow = sqvOrderFlow > 100 // Significant buying pressure
bearishFlow = sqvOrderFlow < -100 // Significant selling pressure
if longSignal and sqvLongValid > 0 and bullishFlow
strategy.entry("Long+Flow", strategy.long)
```
### Visual Feedback Configuration
#### Label Display Modes
1. **Autonomous Mode** (standalone testing):
- Enable "Show Labels Without Signals"
- Labels appear on every bar where score >= minimum threshold
- Useful for initial testing without strategy integration
2. **Signal Mode** (production use):
- Disable "Show Labels Without Signals"
- Enable "Use External Signals"
- Labels appear ONLY when your strategy generates signals
- Prevents chart clutter, shows validation exactly when needed
#### Troubleshooting Integration
**Common Issues:**
1. **Labels not appearing:**
- Verify "Use External Signals" is enabled
- Check signal sources are properly connected
- Ensure your strategy is actually generating signals (add visible plots temporarily)
2. **Wrong source selection:**
- Source dropdowns should show your indicator/strategy name
- Each output plot should be visible in the dropdown
- If not visible, check plot titles in your strategy
3. **Validation always failing:**
- Check Trading Mode matches your signal types
- Verify minimum score thresholds aren't too high
- Use Autonomous Mode to test if SQV is working properly
### Best Practices
1. **Always use `display=display.none`** for communication plots to keep charts clean
2. **Name your plots clearly** for easy identification in source dropdowns
3. **Test in Autonomous Mode first** to understand SQV behavior
4. **Use consistent signal logic** - ensure signals are binary (1 or 0)
5. **Consider adding a small delay** between signal and entry for validation processing
### Complete Integration Template
Here's a full template for a strategy with complete SQV integration:
```pinescript
//@version=6
strategy("Complete SQV Integration Template", overlay=true)
// ========== SQV Integration Inputs ==========
sqvScore = input.source(close, "SQV Score Source", group="SQV Integration")
sqvLongValid = input.source(close, "SQV Long Valid Source", group="SQV Integration")
sqvShortValid = input.source(close, "SQV Short Valid Source", group="SQV Integration")
sqvOrderFlow = input.source(close, "SQV Order Flow Delta", group="SQV Integration")
// ========== Strategy Parameters ==========
emaFast = input.int(9, "Fast EMA")
emaSlow = input.int(21, "Slow EMA")
useQualitySizing = input.bool(true, "Use Quality-Based Sizing")
// ========== Indicators ==========
ema1 = ta.ema(close, emaFast)
ema2 = ta.ema(close, emaSlow)
// ========== Signal Logic ==========
longSignal = ta.crossover(ema1, ema2)
shortSignal = ta.crossunder(ema1, ema2)
// ========== Export Signals to SQV ==========
plot(longSignal ? 1 : 0, "Long Signal Output", display=display.none)
plot(shortSignal ? 1 : 0, "Short Signal Output", display=display.none)
// ========== Position Sizing ==========
baseSize = 1
qualityMultiplier = useQualitySizing ?
(sqvScore >= 90 ? 3 : sqvScore >= 80 ? 2 : 1) : 1
positionSize = baseSize * qualityMultiplier
// ========== Entry Logic with SQV Validation ==========
if longSignal and sqvLongValid > 0
strategy.entry("Long", strategy.long, qty=positionSize)
if shortSignal and sqvShortValid > 0
strategy.entry("Short", strategy.short, qty=positionSize)
// ========== Exit Logic ==========
if strategy.position_size > 0 and shortSignal
strategy.close("Long")
if strategy.position_size < 0 and longSignal
strategy.close("Short")
// ========== Visual Feedback ==========
plotshape(longSignal and sqvLongValid > 0, "Valid Long",
location=location.belowbar, color=color.green, style=shape.triangleup)
plotshape(shortSignal and sqvShortValid > 0, "Valid Short",
location=location.abovebar, color=color.red, style=shape.triangledown)
```
This template provides everything needed for professional bidirectional integration between your custom strategy and SQV Lite.
## Order Flow Analysis
The integrated Order Flow system automatically adapts to market conditions, providing intelligent analysis of buying and selling pressure. The system handles various market scenarios including low liquidity and minimal price movement conditions through advanced algorithms.
## Visual Interface
### Signal Labels
Displays three-line information blocks:
- Grade designation (A+, A, B, C)
- Numerical quality score
- Order flow direction and magnitude
### Dashboard Elements
- **Profile Display**: Active configuration and thresholds
- **Score Visualization**: Real-time quality assessment
- **Flow Indicator**: Directional bias representation
- **Status Monitor**: Ready/Wait signal state
### Customization Options
- Label distance adjustment (0.5-3.0x ATR)
- Profile selection and custom configuration
- Component weight modifications (Custom mode)
- Threshold adjustments for different market conditions
## Trading Mode Selection
Three operational modes accommodate different trading styles:
- **Long Only**: Validates bullish signals exclusively
- **Short Only**: Validates bearish signals exclusively
- **Both**: Bi-directional signal validation
## Performance Considerations
SQV Lite maintains computational efficiency through:
- Optimized calculation cycles
- Selective component updates
- Efficient data structure usage
- Minimal redundant processing
---
## Feature Comparison: SQV Lite vs Full Version
### Core Components
| Component | SQV Lite | SQV Full | Details |
|-----------|----------|----------|---------|
| **Trend Analysis** | ✅ Full | ✅ Full | Professional trend evaluation |
| **Volume Dynamics** | ✅ Full | ✅ Full | Advanced volume analysis |
| **Momentum Assessment** | ✅ Full | ✅ Full | Multi-factor momentum |
| **Market Structure** | ✅ Basic | ✅ Enhanced | Key level detection |
| **Volatility Filter** | ✅ Full | ✅ Full | Risk-adjusted filtering |
| **Performance Analytics** | ❌ | ✅ | Real-time performance tracking |
| **Impulse Detection** | ❌ | ✅ | Advanced signal filtering |
### Advanced Features
| Feature | SQV Lite | SQV Full | Benefits |
|---------|----------|----------|----------|
| **Multi-Timeframe Analysis** | ❌ | ✅ | Higher timeframe confirmation |
| **Dynamic Position Sizing** | ❌ | ✅ Automatic | Dynamic size optimization |
| **Auto Mode** | ❌ | ✅ | Self-optimizing system |
| **Advanced Profiling** | ❌ | ✅ | Market depth analysis |
| **Recovery Mode** | ❌ | ✅ | Adaptive drawdown handling |
| **Statistical Validation** | ❌ | ✅ | Confidence-based filtering |
### Profiles & Configuration
| Feature | SQV Lite | SQV Full |
|---------|----------|----------|
| **Timeframe Profiles** | 5 | 8 |
| **Available Profiles** | 1-5m, 15-30m, 1-4H, Daily+, Custom | All Lite + ES, NQ, Auto |
| **Custom Weights** | ✅ Manual | ✅ Manual + Auto-optimization |
| **Threshold Adjustment** | ✅ | ✅ Enhanced |
### Visual Interface
| Feature | SQV Lite | SQV Full |
|---------|----------|----------|
| **Dashboard Styles** | 1 (Standard) | 4 (Multiple layouts) |
| **Signal Labels** | ✅ Basic | ✅ Enhanced with sizing |
| **Advanced Visualizations** | ❌ | ✅ |
| **Component Breakdown** | ❌ | ✅ Detailed view |
| **Performance Display** | ❌ | ✅ Live statistics |
| **Debug Mode** | ❌ | ✅ |
### Integration Capabilities
| Feature | SQV Lite | SQV Full |
|---------|----------|----------|
| **Script Type** | Indicator | Strategy |
| **Signal Import** | ✅ | Via strategy conditions |
| **Data Export** | ✅ All via plots | Internal to strategy |
| **Bidirectional Flow** | ✅ Full support | One-way (strategy-based) |
### Risk Management
| Feature | SQV Lite | SQV Full |
|---------|----------|----------|
| **Position Sizing** | Manual | ✅ Automatic |
| **Quality-Based Sizing** | Via integration | ✅ Built-in |
| **Performance Adjustment** | ❌ | ✅ |
| **Risk Grade System** | ❌ | ✅ Risk grading system |
| **Statistical Filtering** | ❌ | ✅ |
### Market Analysis
| Feature | SQV Lite | SQV Full |
|---------|----------|----------|
| **Order Flow Analysis** | ✅ Automatic | ✅ Advanced |
| **Market Manipulation Detection** | ❌ | ✅ |
| **Multi-Timeframe Validation** | ❌ | ✅ |
| **Advanced Momentum Analysis** | Basic | ✅ Enhanced |
| **Market Regime Adaptation** | Basic | ✅ Full Auto Mode |
### Summary
| Aspect | SQV Lite | SQV Full |
|--------|----------|----------|
| **Best For** | Signal validation, integration with custom strategies | Complete trading system with built-in strategy |
| **Learning Curve** | Easy | Moderate |
| **Customization** | High (via integration) | Very High (all parameters) |
| **Price** | Free | $29/month |
---
## SQV Bridge System
### Overview
The SQV Bridge System allows you to connect any TradingView indicator or strategy with the Signal Quality Validator (SQV) system. This enables you to add professional-grade signal validation to your existing trading tools without modifying their code.
### System Components
1. **SQV Lite** (Required) - The core validation engine
2. **Bridge** (Choose one):
- **Indicator Bridge** - For visual signals and alerts
- **Strategy Bridge** - For automated backtesting and trading
3. **Your Trading Tool** - Any indicator or strategy that generates signals
---
## SQV Indicator Bridge
### //@version=6
### indicator("SQV Indicator Bridge", overlay=true)
### Purpose
The Indicator Bridge displays validated entry signals on your chart. It receives signals from any indicator and validation from SQV Lite, showing only high-quality trade opportunities.
### Features
- Visual labels for validated signals
- Customizable appearance (size, color, position)
- Alert capabilities
- Hidden signal exports for other tools
### Setup Instructions
1. **Add Your Indicator**
- Apply your trading indicator to the chart
- Note which plots contain long/short signals
2. **Add SQV Lite**
- Add SQV Lite indicator to the same chart
- Configure SQV settings as needed
3. **Add Indicator Bridge**
- Add "SQV Indicator Bridge" to chart
- Connect the sources:
- Long Signal Source → Your indicator's long signal
- Short Signal Source → Your indicator's short signal
- SQV Long Valid → From SQV Lite
- SQV Short Valid → From SQV Lite
- SQV Score → From SQV Lite (for alerts)
### Configuration Options
#### Visual Settings
- **Show Labels**: Toggle signal labels on/off
- **Label Offset**: Distance from candles (0-5 ATR)
- **Label Size**: Tiny, Small, or Normal
- **Colors**: Customize long/short colors
#### Alerts
- Enable/disable alert notifications
- Alerts include SQV score in message
### Example Code (Add to Your Indicator)
```pinescript
// Export signals from your indicator
plot(longCondition ? 1 : 0, "Long Signal", display=display.none)
plot(shortCondition ? 1 : 0, "Short Signal", display=display.none)
```
### Complete Indicator Bridge Code
```pinescript
//@version=6
indicator("SQV Indicator Bridge", overlay=true)
// ===================================================================
// SQV INDICATOR BRIDGE - CLEAN VERSION
// Version 1.0
//
// Simple bridge that shows validated entry signals.
// Receives signals from any indicator and validation from SQV Lite.
//
// SETUP:
// 1. Add your indicator to chart
// 2. Add SQV Lite to chart
// 3. Add this bridge
// 4. Connect sources in settings
// ===================================================================
// ===================================================================
// INPUT SOURCES
// ===================================================================
// From your indicator
longSignal = input.source(close, "Long Signal Source", group="Signal Sources",
tooltip="Select Long Signal from your indicator")
shortSignal = input.source(close, "Short Signal Source", group="Signal Sources",
tooltip="Select Short Signal from your indicator")
// From SQV Lite
sqvLongValid = input.source(close, "SQV Long Valid", group="SQV Sources",
tooltip="Select 'SQV Long Valid' from SQV Lite")
sqvShortValid = input.source(close, "SQV Short Valid", group="SQV Sources",
tooltip="Select 'SQV Short Valid' from SQV Lite")
sqvScore = input.source(close, "SQV Score", group="SQV Sources",
tooltip="Select 'SQV Score' from SQV Lite (for alerts)")
// ===================================================================
// SETTINGS
// ===================================================================
showLabels = input.bool(true, "Show Labels", group="Visual")
labelOffset = input.float(0.0, "Label Offset (ATR)", minval=0.0, maxval=5.0, step=0.5, group="Visual",
tooltip="0 = Labels at candle edges, higher = further away")
labelSize = input.string("small", "Label Size", options= , group="Visual")
longColor = input.color(color.green, "Long Color", group="Visual")
shortColor = input.color(color.red, "Short Color", group="Visual")
enableAlerts = input.bool(false, "Enable Alerts", group="Alerts")
// ===================================================================
// MAIN LOGIC
// ===================================================================
// Calculate offset
atr = ta.atr(14)
offset = labelOffset > 0 ? atr * labelOffset : 0
// Check for validated signals
hasValidLong = longSignal > 0 and sqvLongValid > 0 and barstate.isconfirmed
hasValidShort = shortSignal > 0 and sqvShortValid > 0 and barstate.isconfirmed
// Show labels
if showLabels
if hasValidLong
label.new(bar_index, low - offset, "LONG",
style=label.style_label_up,
color=longColor,
textcolor=color.white,
size=labelSize == "tiny" ? size.tiny :
labelSize == "small" ? size.small : size.normal)
if hasValidShort
label.new(bar_index, high + offset, "SHORT",
style=label.style_label_down,
color=shortColor,
textcolor=color.white,
size=labelSize == "tiny" ? size.tiny :
labelSize == "small" ? size.small : size.normal)
// Alerts
if enableAlerts
if hasValidLong
alert("Long Signal Validated | Score: " + str.tostring(sqvScore, "#"), alert.freq_once_per_bar_close)
if hasValidShort
alert("Short Signal Validated | Score: " + str.tostring(sqvScore, "#"), alert.freq_once_per_bar_close)
// Hidden exports
plot(hasValidLong ? 1 : 0, "Valid Long", display=display.none)
plot(hasValidShort ? 1 : 0, "Valid Short", display=display.none)
```
---
## SQV Strategy Bridge
### //@version=6
### strategy("SQV Strategy Bridge", overlay=true, ...)
### Purpose
The Strategy Bridge executes trades with SQV validation, enabling backtesting and live trading with quality-filtered signals. It can receive position sizing, stop loss, and take profit levels from your strategy.
### Features
- Automated trade execution with SQV validation
- Dynamic position sizing support
- Stop loss and take profit integration
- Position status display
- Alert system for trade notifications
### Setup Instructions
1. **Prepare Your Strategy**
- Export required values as plots (see examples below)
- Ensure signals are clear (1 for entry, 0 for no signal)
2. **Add SQV Lite**
- Add SQV Lite indicator to the chart
- Configure validation parameters
3. **Add Strategy Bridge**
- Add "SQV Strategy Bridge" to chart
- Connect all required sources
### Source Connections
#### Required Sources
- **Long Signal Source** → Your strategy's long signal
- **Short Signal Source** → Your strategy's short signal
- **SQV Long Valid** → From SQV Lite
- **SQV Short Valid** → From SQV Lite
- **SQV Score** → From SQV Lite
#### Optional Sources (Advanced)
- **Position Size Source** → Dynamic position sizing
- **Long/Short Stop Loss** → Stop loss prices
- **Long/Short Take Profit** → Take profit prices
### Configuration Options
#### Position Management
- **Use Position Size from Strategy**: Enable dynamic sizing
- **Default Position Size %**: Fallback size (0.1-100%)
#### Risk Management
- **Use Stop Loss from Strategy**: Enable dynamic stops
- **Use Take Profit from Strategy**: Enable dynamic targets
### Example Code (Add to Your Strategy)
```pinescript
// Basic signal export
plot(buySignal ? 1 : 0, "Long Signal", display=display.none)
plot(sellSignal ? 1 : 0, "Short Signal", display=display.none)
// Advanced exports (optional)
// Position size (0.1 = 10% of equity)
plot(myPositionSize, "Position Size Output", display=display.none)
// Stop loss prices
plot(longStopPrice, "Long Stop Price", display=display.none)
plot(shortStopPrice, "Short Stop Price", display=display.none)
// Take profit prices
plot(longTPPrice, "Long TP Price", display=display.none)
plot(shortTPPrice, "Short TP Price", display=display.none)
```
### Complete Strategy Bridge Code
```pinescript
//@version=6
strategy("SQV Strategy Bridge",
overlay=true,
initial_capital=10000,
default_qty_type=strategy.percent_of_equity,
default_qty_value=10,
commission_type=strategy.commission.percent,
commission_value=0.1)
// ===================================================================
// SQV STRATEGY BRIDGE - SIMPLE VERSION
// Version 1.0
//
// Receives everything from your strategy:
// - Signals (when to trade)
// - Position size (how much to trade)
// - Stop loss levels (optional)
// - Take profit levels (optional)
//
// Bridge only executes trades with SQV validation
// ===================================================================
// ===================================================================
// SIGNAL SOURCES
// ===================================================================
longSignal = input.source(close, "Long Signal Source", group="Signal Sources",
tooltip="Connect to Long Signal from your strategy")
shortSignal = input.source(close, "Short Signal Source", group="Signal Sources",
tooltip="Connect to Short Signal from your strategy")
// ===================================================================
// SQV SOURCES
// ===================================================================
sqvLongValid = input.source(close, "SQV Long Valid", group="SQV Sources")
sqvShortValid = input.source(close, "SQV Short Valid", group="SQV Sources")
sqvScore = input.source(close, "SQV Score", group="SQV Sources")
// ===================================================================
// POSITION SIZE SOURCES (FROM YOUR STRATEGY)
// ===================================================================
usePositionFromStrategy = input.bool(false, "Use Position Size from Strategy", group="Position")
positionSizeSource = input.source(close, "Position Size Source", group="Position",
tooltip="Your strategy should export position size (% or fixed quantity)")
defaultPositionSize = input.float(10, "Default Position Size %", minval=0.1, maxval=100, group="Position",
tooltip="Used if 'Use Position Size from Strategy' is disabled")
// ===================================================================
// STOP LOSS SOURCES (FROM YOUR STRATEGY)
// ===================================================================
useStopFromStrategy = input.bool(false, "Use Stop Loss from Strategy", group="Risk Management")
longStopSource = input.source(close, "Long Stop Loss Price", group="Risk Management",
tooltip="Your strategy should export exact stop price for longs")
shortStopSource = input.source(close, "Short Stop Loss Price", group="Risk Management",
tooltip="Your strategy should export exact stop price for shorts")
// ===================================================================
// TAKE PROFIT SOURCES (FROM YOUR STRATEGY)
// ===================================================================
useTakeProfitFromStrategy = input.bool(false, "Use Take Profit from Strategy", group="Risk Management")
longTakeProfitSource = input.source(close, "Long Take Profit Price", group="Risk Management",
tooltip="Your strategy should export exact TP price for longs")
shortTakeProfitSource = input.source(close, "Short Take Profit Price", group="Risk Management",
tooltip="Your strategy should export exact TP price for shorts")
// ===================================================================
// ALERTS
// ===================================================================
enableAlerts = input.bool(true, "Enable Alerts", group="Alerts")
// ===================================================================
// TRADING LOGIC
// ===================================================================
// Check signals with SQV validation
hasLongSignal = longSignal > 0 and sqvLongValid > 0 and barstate.isconfirmed
hasShortSignal = shortSignal > 0 and sqvShortValid > 0 and barstate.isconfirmed
// Position state
inLong = strategy.position_size > 0
inShort = strategy.position_size < 0
// Get position size
getPositionSize() =>
if usePositionFromStrategy and positionSizeSource > 0
positionSizeSource
else
defaultPositionSize / 100
// LONG ENTRY
if hasLongSignal and not inLong
if inShort
strategy.close("Short")
qty = getPositionSize()
strategy.entry("Long", strategy.long, qty=qty)
// Set exit orders if provided by strategy
if useStopFromStrategy or useTakeProfitFromStrategy
stopPrice = useStopFromStrategy and longStopSource > 0 ? longStopSource : na
tpPrice = useTakeProfitFromStrategy and longTakeProfitSource > 0 ? longTakeProfitSource : na
if not na(stopPrice) or not na(tpPrice)
strategy.exit("Long Exit", "Long", stop=stopPrice, limit=tpPrice)
if enableAlerts
alert("Long Entry | Score: " + str.tostring(sqvScore, "#"), alert.freq_once_per_bar_close)
// SHORT ENTRY
if hasShortSignal and not inShort
if inLong
strategy.close("Long")
qty = getPositionSize()
strategy.entry("Short", strategy.short, qty=qty)
// Set exit orders if provided by strategy
if useStopFromStrategy or useTakeProfitFromStrategy
stopPrice = useStopFromStrategy and shortStopSource > 0 ? shortStopSource : na
tpPrice = useTakeProfitFromStrategy and shortTakeProfitSource > 0 ? shortTakeProfitSource : na
if not na(stopPrice) or not na(tpPrice)
strategy.exit("Short Exit", "Short", stop=stopPrice, limit=tpPrice)
if enableAlerts
alert("Short Entry | Score: " + str.tostring(sqvScore, "#"), alert.freq_once_per_bar_close)
// ===================================================================
// POSITION INFO
// ===================================================================
var label infoLabel = label.new(bar_index, high, "", style=label.style_label_left)
if barstate.islast
posText = "Bridge Status\n"
posText := inLong ? posText + "Position: LONG\n" : inShort ? posText + "Position: SHORT\n" : posText + "Position: FLAT\n"
posText := "SQV Score: " + str.tostring(sqvScore, "#")
label.set_xy(infoLabel, bar_index + 1, high)
label.set_text(infoLabel, posText)
label.set_color(infoLabel, inLong ? color.new(color.green, 80) : inShort ? color.new(color.red, 80) : color.new(color.gray, 80))
label.set_textcolor(infoLabel, color.white)
// ===================================================================
// HOW TO EXPORT FROM YOUR STRATEGY:
//
// // In your strategy, export these values:
//
// // Position size (% as decimal: 0.1 = 10%, or fixed: 0.2 = 0.2 BTC)
// plot(myPositionSize, "Position Size Output", display=display.none)
//
// // Stop loss prices
// plot(longStopPrice, "Long Stop Price", display=display.none)
// plot(shortStopPrice, "Short Stop Price", display=display.none)
//
// // Take profit prices
// plot(longTPPrice, "Long TP Price", display=display.none)
// plot(shortTPPrice, "Short TP Price", display=display.none)
// ===================================================================
```
---
## Quick Start Guide
### For Indicators (Visual Signals)
1. Add these three indicators in order:
- Your trading indicator
- SQV Lite
- SQV Indicator Bridge
2. In Bridge settings, connect:
- Signal sources from your indicator
- Validation sources from SQV Lite
3. Adjust visual settings to preference
### For Strategies (Automated Trading)
1. Modify your strategy to export signals:
```pinescript
plot(longSignal ? 1 : 0, "Long Signal", display=display.none)
plot(shortSignal ? 1 : 0, "Short Signal", display=display.none)
```
2. Add to chart:
- Your modified strategy (as indicator)
- SQV Lite
- SQV Strategy Bridge
3. Connect all sources in Bridge settings
4. Run backtest or enable live trading
---
## Tips & Best Practices
### Signal Quality
- SQV validates signals based on 5 market components (7 in full version)
- Only signals with sufficient quality score pass validation
- Adjust SQV settings to match your trading style
### Position Sizing
- Default sizing uses percentage of equity
- Advanced users can export dynamic sizing from strategy
- Size based on signal quality or market conditions
### Risk Management
- Always use stop losses (manual or from strategy)
- Consider using SQV's quality score for position sizing
- Monitor win rate and Sharpe ratio in SQV dashboard (full version)
### Troubleshooting
- **No signals showing**: Check source connections
- **Too few signals**: Lower SQV minimum score
- **Too many signals**: Increase SQV requirements
- **Backtest issues**: Ensure strategy calculations match
---
## Example Setups
### Simple Moving Average Cross + SQV
```pinescript
// In your indicator
ma_fast = ta.sma(close, 20)
ma_slow = ta.sma(close, 50)
longSignal = ta.crossover(ma_fast, ma_slow)
shortSignal = ta.crossunder(ma_fast, ma_slow)
plot(longSignal ? 1 : 0, "Long Signal", display=display.none)
plot(shortSignal ? 1 : 0, "Short Signal", display=display.none)
```
### RSI Strategy with Dynamic Stops
```pinescript
// In your strategy
rsi = ta.rsi(close, 14)
longSignal = rsi < 30
shortSignal = rsi > 70
// Dynamic stops based on ATR
atr = ta.atr(14)
longStop = close - (atr * 2)
shortStop = close + (atr * 2)
// Export everything
plot(longSignal ? 1 : 0, "Long Signal", display=display.none)
plot(shortSignal ? 1 : 0, "Short Signal", display=display.none)
plot(longStop, "Long Stop Price", display=display.none)
plot(shortStop, "Short Stop Price", display=display.none)
```
---
## Advanced Features
### Multi-Timeframe Validation
SQV automatically checks higher timeframes for confluence, improving signal reliability (Full version only).
### Adaptive Profiles
Use "Auto" profile in SQV for dynamic parameter adjustment based on market conditions (Full version only).
### Performance Tracking
SQV tracks win rate, Sharpe ratio, and other metrics to ensure consistent performance (Full version only).
### Order Flow Analysis
Validates signals using volume delta and buying/selling pressure (included in Lite version).
---
## Upgrade to SQV Full Version
### Enhanced Capabilities in Full Version
The complete SQV system extends validation capabilities with advanced components:
#### 🎯 **Performance Analytics Component**
- Real-time Sharpe Ratio calculation
- Win rate tracking with confidence intervals
- Risk-adjusted performance metrics
- Adaptive threshold adjustments
#### ⚡ **Impulse Detection with Trap Analysis**
- Advanced momentum surge detection
- Market manipulation identification
- False breakout filtering
- Volume/price divergence analysis
#### 📊 **Multi-Timeframe Confluence**
- Three-timeframe trend alignment
- Higher timeframe confirmation requirements
- Confluence strength scoring
- Directional bias validation
#### 🎰 **Dynamic Position Sizing**
- Automatic position multipliers based on signal quality
- Grade A+ signals (90+) = Maximum multiplier
- Grade A signals (80-89) = Scaled multiplier
- Grade B signals (65-79) = Base position size
- Risk-adjusted position management
- Sharpe-influenced adjustments
#### 🔄 **Auto Mode**
- Market-adaptive parameter optimization
- Dynamic weight redistribution
- Volatility-based threshold adjustments
- Self-calibrating component settings
#### 📈 **Volume Profile Integration**
- Point of Control (POC) identification
- Value Area analysis (VAH/VAL)
- Profile-based support/resistance
- Volume distribution visualization
#### 🛡️ **Recovery Mode**
- Drawdown detection and adaptation
- Conservative validation during recovery
- Gradual threshold normalization
- Performance-based re-engagement
#### 📊 **Extended Visualizations**
- Multiple dashboard layouts
- Component breakdown displays
- Performance statistics panels
- Risk grade assessments
### Why Upgrade?
While SQV Lite provides robust signal validation, the Full Version transforms your trading with:
- **Automated risk management** through dynamic sizing
- **Superior signal filtering** via Impulse and MTF components
- **Performance optimization** with real-time analytics
- **Market adaptation** through Auto Mode
- **Additional dashboard layouts** for complete market insight
The Full Version includes everything in Lite plus seven additional premium components.
---
## 💰 **SQV Full Version Pricing**
### **Monthly Subscription: $29/month**
Get instant access to the complete Signal Quality Validator system with all premium features:
- ✅ All 7 additional advanced components
- ✅ Automatic position sizing optimization
- ✅ Performance analytics & Sharpe tracking
- ✅ Impulse detection with trap analysis
- ✅ Multi-timeframe confluence validation
- ✅ Auto Mode with self-optimization
- ✅ Recovery mode for drawdown management
- ✅ 4 dashboard layouts
- ✅ Lifetime updates included
- ✅ Priority support
**The automatic position sizing feature alone can pay for months of subscription with a single properly-sized winning trade.**
### 📩 **How to Subscribe**
To get access to SQV Full Version:
1. **Send me a DM** on TradingView
2. **Include your TradingView username/ID** in the message
3. Receive payment instructions and access upon confirmation
*Your TradingView ID is required to grant access to the private indicator.*
### 🔧 **Custom Integration Services**
**Need direct integration into your Pine Script strategy?**
For traders requiring seamless library-based integration without the 500-bar limitation:
- Full backtesting on complete price history
- Zero signal delay
- Custom parameter optimization
- Private library implementation
**📩 DM me for custom integration pricing and details**
---
## Support and Updates
- Both bridges are regularly updated
- SQV Lite receives regular maintenance updates
- For technical questions or feature requests, please reach out through TradingView's messaging system
- Check for new features and improvements in the script descriptions
## Disclaimer
Signal Quality Validator provides technical analysis assistance only. All trading decisions remain the sole responsibility of the user. Past performance does not guarantee future results. Trade responsibly and within your risk tolerance.
*Note: This system is designed for educational purposes. Always test thoroughly before live trading.*
🚀 QuantSignals AI Trend Pro 15M🚀 QuantSignals AI Trend Pro 15M
Welcome to QuantSignals AI Trend Pro, the ultimate AI-powered trend and signal system designed for serious day traders and scalpers.
🔒 This is a closed-source invite-only script. Only approved users may access this strategy.
🔍 What is it?
QuantSignals AI Trend Pro uses proprietary machine learning logic and smart signal filters to detect high-probability entries and exits on the 15-minute timeframe.
Designed by real traders, backed by data science, and battle-tested across crypto, forex, and equities.
💡 Key Features
🎯 AI-Powered Signal Engine
Smart buy/sell logic filtered by momentum, volatility, and multi-timeframe confluence.
📈 Smart Trend Strength System
Auto-classifies market into 🚀 Strong Bull, ⚖️ Neutral, or 🔥 Strong Bear zones.
🧠 Visual Dashboard Overlay
Real-time scoreboards for trend status, signal quality, momentum, and volatility.
🎯 Smart Support & Resistance Zones
Auto-calculated pivot levels based on dynamic market structure.
🔔 Built-In Alerts
Get real-time signals directly to your device — ready for TradingView alert automation.
✅ Optimized For:
🕒 15-minute timeframe
🔁 Scalping & Day Trading
💹 Crypto / Stocks / Forex / Futures
💎 How to Get Access?
This is a limited free version of our full QuantSignals system.
To unlock:
🔓 Full algorithm (multi-timeframe + sentiment + volume)
🔔 Real-time signals + smart alerts
📘 Educational content & live strategy sessions
➕ Join our community and request access:
🌐 Website: quantsignals.xyz
💬 Discord: discord.gg
🧠 Who is this for?
Active day traders and scalpers
Traders seeking institutional-grade tools
Anyone tired of fake signal groups and repainting indicators
📉 Disclaimer
This script is for educational and informational purposes only.
Trading carries risk. Use with proper risk management.
Ravi R-Series (C) Al Mahira LLC DuabiR-Series Indicator is an invite only !
It helps traders to identify the trend for either short term trades, swing, positional, or SCALPING!!!
Follow the Buy Sell signals. To automate your trades based on R-Series kindly contact us.
#NIFTY #BANKNIFTY # BTC #Options #NASDAQ #S&P #Stocks #Forex #Crudeoil
Ravi
Al Mahira LLC Dubai
Directional Market Efficiency [QuantAlgo]🟢 Overview
The Directional Market Efficiency indicator is an advanced trend analysis tool that measures how efficiently price moves in a given direction relative to the total price movement over a specified period. Unlike traditional momentum oscillators that only measure price change magnitude, this indicator combines efficiency measurement with directional bias to provide a comprehensive view of market behavior ranging from -1 (perfectly efficient downward movement) to +1 (perfectly efficient upward movement).
The indicator transforms the classic Efficiency Ratio concept by incorporating directional bias, creating a normalized oscillator that simultaneously reveals trend strength, direction, and market regime (trending vs. ranging). This dual-purpose functionality helps traders and investors identify high-probability trend continuation opportunities while filtering out choppy, inefficient price movements that often lead to false signals and whipsaws.
🟢 How It Works
The indicator employs a sophisticated two-step calculation process that first measures pure efficiency, then applies directional weighting to create the final signal. The efficiency calculation compares the absolute net price change over a lookback period to the sum of all individual bar-to-bar price movements during that same period. This ratio reveals how much of the total price movement contributed to actual progress in a specific direction.
The directional component applies the mathematical sign of the net price change (positive for upward movement, negative for downward movement) to the efficiency ratio, creating values between -1 and +1. The resulting Directional Efficiency is then smoothed using an Exponential Moving Average to reduce noise while maintaining responsiveness. Additionally, the system incorporates a configurable threshold level that distinguishes between trending markets (high efficiency) and ranging markets (low efficiency), enabling regime-based analysis and strategy adaptation.
🟢 How to Use
1. Signal Interpretation and Market Regime Analysis
Positive Territory (Above Zero): Indicates efficient upward price movement with bullish directional bias and favorable conditions for long positions
Negative Territory (Below Zero): Signals efficient downward price movement with bearish directional bias and favorable conditions for short positions
High Absolute Values (±0.4 to ±1.0): Represent highly efficient trending conditions with strong directional conviction and reduced noise
Low Absolute Values (±0.1 to ±0.3): Suggest ranging or consolidating markets with inefficient price movement and increased whipsaw risk
Zero Line Crosses: Mark critical directional shifts and provide primary entry/exit signals for trend-following strategies
2. Threshold-Based Market Regime Classification
Above Threshold (Trending Markets): When efficiency exceeds the threshold level, markets are classified as trending, favoring momentum strategies
Below Threshold (Ranging Markets): When efficiency falls below the threshold, markets are classified as ranging, favoring mean reversion approaches
3. Preset Configurations for Different Trading Styles
Default
Universally applicable configuration optimized for medium-term analysis across multiple timeframes and asset classes, providing balanced sensitivity and noise filtering.
Scalping
Highly responsive setup for ultra-short-term trades with increased sensitivity to quick efficiency changes. Best suited for 1-15 minute charts and rapid-fire trading approaches.
Swing Trading
Designed for multi-day position holding with enhanced noise filtering and focus on sustained efficiency trends. Optimal for 1-4 hour and daily timeframe analysis.
🟢 Pro Tips for Trading and Investing
→ Trend Continuation Filter: Enter long positions when Directional Efficiency crosses above zero in trending markets (above threshold) and short positions when crossing below zero, ensuring alignment with efficient price movement.
→ Range Trading Optimization: In ranging markets (below threshold), take profits on extreme readings and enter mean reversion trades when efficiency approaches zero from either direction.
→ Multi-Timeframe Confluence: Combine higher timeframe trend direction with lower timeframe efficiency signals for optimal entry timing.
→ Risk Management Enhancement: Reduce position sizes or avoid new entries when efficiency readings are weak (near zero), as these conditions indicate higher probability of choppy, unpredictable price movement.
→ Signal Strength Assessment: Prioritize trades with high absolute efficiency values (±0.4 or higher) as these represent the most reliable directional moves with reduced likelihood of immediate reversal.
→ Regime Transition Trading: Watch for efficiency threshold breaks combined with directional changes as these often mark significant trend initiation or termination points requiring strategic position adjustments.
→ Alert Integration: Utilize the built-in alert system for real time notifications of zero-line crosses, threshold breaks, and regime changes to maintain constant market awareness without continuous chart monitoring.
OB Entry Signal Pro v.2Indicator Description
The indicator operates in real time to identify key order block zones and generate trading signals, minimizing market noise and enhancing your trading efficiency.
How It Works
Detection of Powerful Swings
The indicator pinpoints local extrema with pronounced wicks, the size of which is calculated using ATR.
Confirmed Zone Retest
Price returns to the swing area within a specified bar window and is validated by a candlestick bounce in the desired direction.
Optional MACD Filtering
When enabled, MACD histogram confirmation filters out false breakouts and helps you enter in the direction of the prevailing trend impulse.
Automatic Visualization and Alerts
Order block zones are drawn directly on the chart, and built‑in `alertcondition` triggers notify you of signals instantly.
Advantages
Live Trading Ready
Calculations occur on each closed bar, making the indicator fully suited for use in live trading.
Precise Adaptation to Any Pair and Timeframe
Swing detection depth and retest parameters can be finely tuned to the characteristics of any cryptocurrency and timeframe.
Minimization of False Signals
An ATR‑based wick filter, optional MACD confirmation, and a minimum‑distance constraint between zones significantly reduce noise and redundant signals.
Proven Effectiveness
In comprehensive backtests, the indicator demonstrated a high win rate, confirming its reliability under varied market conditions.
Enhanced Decision‑Making
Clear graphical zones and integrated alerting accelerate your response to market moves and ensure you never miss critical signals.
Illustrations Across Multiple Timeframes
15m
30m
1H
2H
4H
Important
This indicator is intended as an auxiliary analytical tool and does not guarantee profitable outcomes or absolute forecasting accuracy. It should be used as part of your own trading strategy, taking into account current market conditions, and is not a personal financial recommendation.
SESSION Range TONY|TPT📊 Session Range TONY | TPT
Precision Forex Session Mapping Tool – Tokyo | London | New York
Description:
Session Range TONY | TPT is a sleek and powerful indicator designed for traders who want to clearly visualize and analyze market behavior during the three most critical Forex trading sessions: Asian (Tokyo), London, and New York.
By plotting the full range (high to low) of each session directly on your chart, this tool allows you to identify session-specific price action patterns such as consolidations, breakouts, reversals, and volatility shifts – all in real time.
🧠 Key Features:
🕒 Auto-detects and highlights trading sessions:
Asian Session (Tokyo)
London Session
New York Session
📏 Displays each session's full price range (high–low), giving clear visual zones of interest
🎨 Fully customizable colors and transparency for each session to suit your chart style
🔔 Optional alerts for session openings – trade in sync with the market's rhythm
⏱️ Compatible with all timeframes, from 1-minute scalping to multi-hour swing analysis
🎯 Why Use Session Range TONY | TPT?
Instantly see where price moved during each session
Analyze how sessions overlap and how volatility changes
Build strategies around session-based behaviors like:
Asian range breakouts
London fake moves
New York reversals
Enhance your entry & exit timing with context-driven awareness
💼 Built For All Traders:
Whether you’re a scalper, day trader, or swing trader, Session Range TONY | TPT helps you bring structure to your strategy. Stop guessing when the market is active – see it clearly.
💻 Platform Support:
✔️ TradingView
2EZ-UA-FOM2EZ-UA-FOM (Flow of Money) — Advanced Money Flow Indicator
The 2EZ-UA-FOM indicator uniquely combines the power of Market Cipher A’s EMA Ribbon with Market Cipher B’s WaveTrend Oscillator to deliver a comprehensive view of market money flow, trend strength, and momentum shifts.
Key Features:
EMA Ribbon (Market Cipher A): A set of 8 dynamic EMAs that track trend direction through smooth, responsive moving average crosses. Provides early signals of bullish (2EZ BUY) and bearish (2EZ SELL) trend shifts.
WaveTrend Oscillator (Market Cipher B): A momentum oscillator highlighting overbought and oversold conditions, as well as momentum crossovers. Generates “2EZ UP” and “2EZ DOWN” signals to confirm strength behind price moves.
Combined Entry Signals: When EMA Ribbon and WaveTrend signals align, the indicator produces high-confidence “▲ ENTRY” (buy) and “▼ ENTRY” (sell) signals, ideal for swing and day traders seeking reliable setups.
Clear Visual Labels: All signals are clearly marked on the chart with intuitive, color-coded labels for easy interpretation at a glance.
Multi-Timeframe Adaptability: Works effectively across a range of timeframes and asset classes, from scalping setups to longer-term swing trades.
How to Use:
Use 2EZ BUY/SELL signals for early trend detection and directional bias.
Use 2EZ UP/DOWN signals to confirm momentum strength and timing.
Wait for ▲ ENTRY / ▼ ENTRY combined signals to execute lower-risk, high-probability trades.
Integrate with proper risk management and complementary analysis techniques (volume, price action, support/resistance) to maximize performance.
This indicator is ideal for traders who want a layered, confluence-based approach to analyzing money flow and improving entry timing with crystal-clear signals.
Disclaimer: Always test and adjust settings to your preferred market and timeframe. Use appropriate risk management practices.
Quantum Dip Hunter | AlphaNattQuantum Dip Hunter | AlphaNatt
🎯 Overview
The Quantum Dip Hunter is an advanced technical indicator designed to identify high-probability buying opportunities when price temporarily dips below dynamic support levels. Unlike simple oversold indicators, this system uses a sophisticated quality scoring algorithm to filter out low-quality dips and highlight only the best entry points.
"Buy the dip" - but only the right dips. Not all dips are created equal.
⚡ Key Features
5 Detection Methods: Choose from Dynamic, Fibonacci, Volatility, Volume Profile, or Hybrid modes
Quality Scoring System: Each dip is scored from 0-100% based on multiple factors
Smart Filtering: Only signals above your quality threshold are displayed
Visual Effects: Glow, Pulse, and Wave animations for the support line
Risk Management: Automatic stop-loss and take-profit calculations
Real-time Statistics: Live dashboard showing current market conditions
📊 How It Works
The indicator calculates a dynamic support line using your selected method
When price dips below this line, it evaluates the dip quality
Quality score is calculated based on: trend alignment (30%), volume (20%), RSI (20%), momentum (15%), and dip depth (15%)
If the score exceeds your minimum threshold, a buy signal arrow appears
Stop-loss and take-profit levels are automatically calculated and displayed
🚀 Detection Methods Explained
Dynamic Support
Adapts to recent price action
Best for: Trending markets
Uses ATR-adjusted lowest points
Fibonacci Support
Based on 61.8% and 78.6% retracement levels
Best for: Pullbacks in strong trends
Automatically switches between fib levels
Volatility Support
Uses Bollinger Band methodology
Best for: Range-bound markets
Adapts to changing volatility
Volume Profile Support
Finds high-volume price levels
Best for: Identifying institutional support
Updates dynamically as volume accumulates
Hybrid Mode
Combines all methods for maximum accuracy
Best for: All market conditions
Takes the most conservative support level
⚙️ Key Settings
Dip Detection Engine
Detection Method: Choose your preferred support calculation
Sensitivity: Higher = more sensitive to price movements (0.5-3.0)
Lookback Period: How far back to analyze (20-200 bars)
Dip Depth %: Minimum dip size to consider (0.5-10%)
Quality Filters
Trend Filter: Only buy dips in uptrends when enabled
Minimum Dip Score: Quality threshold for signals (0-100%)
Trend Strength: Required trend score when filter is on
📈 Trading Strategies
Conservative Approach
Use Dynamic method with Trend Filter ON
Set minimum score to 80%
Risk:Reward ratio of 2:1 or higher
Best for: Swing trading
Aggressive Approach
Use Hybrid method with Trend Filter OFF
Set minimum score to 60%
Risk:Reward ratio of 1:1
Best for: Day trading
Scalping Setup
Use Volatility method
Set sensitivity to 2.0+
Focus on Target 1 only
Best for: Quick trades
🎨 Visual Customization
Color Themes:
Neon: Bright cyan/magenta for dark backgrounds
Ocean: Cool blues and teals
Solar: Warm yellows and oranges
Matrix: Classic green terminal look
Gradient: Smooth color transitions
Line Styles:
Solid: Clean, simple line
Glow: Adds depth with glow effect
Pulse: Animated breathing effect
Wave: Oscillating wave pattern
💡 Pro Tips
Start with the Trend Filter ON to avoid catching falling knives
Higher quality scores (80%+) have better win rates but fewer signals
Use Volume Profile method near major support/resistance levels
Combine with your favorite momentum indicator for confirmation
The pulse animation can help draw attention to key levels
⚠️ Important Notes
This indicator identifies potential entries, not guaranteed profits
Always use proper risk management
Works best on liquid instruments with good volume
Backtest your settings before live trading
Not financial advice - use at your own risk
📊 Statistics Panel
The live statistics panel shows:
Current detection method
Support level value
Trend direction
Distance from support
Current signal status
🤝 Support
Created by AlphaNatt
For questions or suggestions, please comment below!
Happy dip hunting! 🎯
Not financial advice, always do your own research
LBB + RSI Multi-Level + Compact TableBB and RSI scalping script for daily or scalp zone with signals
52SIGNAL RECIPE Bollinger Bands & Fibonacci Spike Signal Matrix====== 52SIGNAL RECIPE Bollinger Bands & Fibonacci Spike Signal Matrix ======
◆ Overview
52SIGNAL RECIPE Bollinger Bands & Fibonacci Spike Signal Matrix is an advanced multi-band indicator that integrates Bollinger Bands, Fibonacci levels, and ATR-based Spike signals (for detecting bullish/bearish pressure and volatility surges).
Built on a VWMA (Volume-Weighted Moving Average) foundation, it displays standard deviation bands, Fibonacci extension zones, multi-level expansions, and real-time bullish/bearish spike alerts alongside price labeling and color gradation.
This tool is designed to help traders visually analyze and react to:
- Key support/resistance zones
- Overbought/oversold boundaries
- Sudden directional volatility shifts (spikes)
All parameters are customizable to suit a wide variety of trading strategies and styles.
====== ◆ Key Features ======
- Multi-structured Bollinger Bands: VWMA-based center line with ± standard deviation bands and multiple levels of outer extension (+10% to +50%)
- Integrated Fibonacci Bands: Levels at 23.6%, 38.2%, 50%, 61.8%, and 78.6% above and below the center line
- ATR-based Spike Signal Alerts: Automatically detects sudden bullish/bearish volatility surges and triggers directional warning labels (“Bullish Spike Warning” or “Bearish Spike Warning”)
- Real-Time Price Labels & Visual Gradation: Each important band and level includes live price labeling and color-coded zone visualization
- Fully Adjustable Parameters & Panel Display Options: All inputs and visual elements can be toggled or customized
====== ◆ Technical Basis ======
■ Bollinger Bands & Multi-Extension
- Center Line: VWMA (Volume-Weighted Moving Average)
- Bands: ± Standard deviation (default 2.5), with extensions in +10% increments up to +50%
- Extension Zones: Reveal reactions to high volatility or trend continuation
■ Fibonacci Bands
- Symmetrical expansion from center line using Fibonacci ratios
- Visually highlights layered historical retracement zones and price clustering
■ ATR-Based Spike Signal
- Adaptive to chart timeframe (ATR Length & Multiplier auto-adjusted)
- Spike alerts triggered when price exceeds upper/lower ATR bands
- One signal per X bars to filter noise (interval adjustable)
■ Live Visual Labeling & Color Gradients
- Intelligently labeled bands with dynamic color shading between levels
- Helps clarify price geometry and zone importance
====== ◆ Practical Applications ======
■ Spike Signal Interpretation
- Bullish Spike Warning — Market plunged below ATR range → Potential oversold rebound signal
- Bearish Spike Warning — Market surged above ATR range → Potential overbought reversal signal
■ Band & Level Interaction
- Ripple behavior between Fibonacci levels signals trend momentum/weakness
- Penetration through outer expansion bands flags possible trend strength or volatility spikes
■ Integrated Trading Strategies
- Reversal Trades: Bounces between extension and Fibonacci levels
- Breakout Confirmation: Spike signals backing breakout moves
- Directional Bias: Trend-following confirmation when price exceeds multiple zones
====== ◆ Advanced Setting Options ======
All parameters can be fine-tuned for your trading strategy, market, and timeframe.
■ Bollinger Band Period
_Default:_ 20
_Description:_ Number of bars for VWMA and standard deviation. Shorter (10–14): faster but noisier. Longer (30–50): smoother, better for trend analysis.
■ Standard Deviation Multiplier
_Default:_ 2.5
_Description:_ Controls main band width. Lower values (1.5–2.0): More signals, higher sensitivity. Higher values (2.5–3.0): Fewer signals, higher reliability.
■ Band Extension Ratios
_Default:_ +10%, +20%, +30%, +40%, +50%
_Description:_ Amount to expand beyond standard bands. Used for detecting extended zones or extreme price movement areas.
■ ATR Length
_Default:_ Auto depending on timeframe (typically 14–30)
_Description:_ Period for calculating ATR. Shorter: Reacts faster, more sensitive. Longer: Smoother, filters short noise.
■ ATR Multiplier
_Default:_ Auto (1.75 to 2.8)
_Description:_ Sets the threshold for Spike signals. Lower: More frequent but smaller spikes. Higher: Triggers fewer but stronger signals.
■ Fibonacci Levels
_Default:_ 0.236, 0.382, 0.5, 0.618, 0.786
_Description:_ Determines how far Fibonacci bands extend from the center. Aids in identifying key retracement and reaction points.
■ Spike Signal Interval
_Default:_ 7 bars
_Description:_ Minimum bar separation between consecutive spike signals. Prevents signal overflooding from consecutive candles.
■ Labels & Coloring Display
_Toggle ON/OFF_
Show/hide all price labels and visual zone shading. Useful for decluttering or focusing on strategy testing.
Try adjusting these inputs based on your strategy and market conditions. Optimize for scalping, swing trading, day trading, or investing by testing different lengths, bands, and spike sensitivities.
====== ◆ Indicator Synergies ======
- Combine with moving averages, RSI, or MACD for breakout filters
- Use with support/resistance lines or Fibonacci retracements to validate critical zones
- Pair with Keltner Channels, ATR Bands, or volume-based tools for enhanced volatility tracking
====== ◆ Conclusion ======
52SIGNAL RECIPE Bollinger Bands & Fibonacci Spike Signal Matrix offers a cohesive framework that connects price level analysis, trend structure, and volatility-driven directional signals—all in one indicator. It’s not just a visualization tool, but a decision-support system for both reactive trade entries and proactive risk management. With full parameter adjustability and a clear structural layout, it empowers traders to adapt across assets, timeframes, and strategies—efficiently and confidently.
====== ◆ Disclaimer ======
This indicator is for informational and educational purposes only.
Past performance does not guarantee future results. Always apply proper risk management.
====== 52SIGNAL RECIPE Bollinger Bands & Fibonacci Spike Signal Matrix ======
◆ 개요
52SIGNAL RECIPE Bollinger Bands & Fibonacci Spike Signal Matrix는 볼린저 밴드, 피보나치 레벨, ATR 기반 스파이크 신호(상방/하방 압력 감지)를 결합한 고급 멀티 밴드 인디케이터입니다.
VWMA(거래량 가중 이동평균) 기반 중심선 위에 표준편차 밴드, 피보나치 확장 레벨, 다중 확장 밴드, 실시간 상·하방 스파이크 경고(라벨)와 가격 레이블·컬러 그라데이션이 동시에 제공됩니다.
트레이더가 주요 지지/저항, 과매수·과매도, 급격한 변동성 스파이크(방향성 돌파)를 한눈에 시각적으로 분석할 수 있도록 디자인되었습니다.
모든 설정값은 트레이딩 스타일에 맞춰 자유롭게 조절 가능합니다.
====== ◆ 주요 특징 ======
- VWMA 기반 중심선과 표준편차 밴드(±), 10~50% 단계별 외곽 확장
- 피보나치 밴드: 중심선 기준 23.6%, 38.2%, 50%, 61.8%, 78.6% 상·하단 동시 표기
- ATR 기반 스파이크 신호: 강한 상·하방 변동성 구간 실시간 감지(‘Bullish Spike Warning’, ‘Bearish Spike Warning’ 라벨)
- 실시간 가격 레이블 & 컬러 구간 구분
- 밴드/변동성/피보나치/시각 옵션 등 설정 완전 자유화
====== ◆ 기술적 기반 ======
■ 볼린저 밴드/확장
- VWMA 중심선, ± 표준편차 밴드(기본 2.5), 단계별 외곽 확장(10~50%)
■ 피보나치 밴드
- 중심선 기준 대칭 배치(0.236, 0.382, 0.5, 0.618, 0.786)
■ ATR 기반 스파이크 신호
- 차트 주기에 자동 최적화(ATR 기간/배수), 상단·하단 ATR 밴드 돌파 시 스파이크 라벨
- 반복 신호 방지(신호 간격 조정 가능)
■ 실시간 레이블 & 컬러 그라데이션
- 주요 밴드, 피보나치, 확장 레벨별 가격 표시 및 구간 별도 색상
====== ◆ 실용적 응용 ======
■ 스파이크 신호 해석
- Bullish Spike Warning: 과매도 구간(강한 하락 후 단기 반등 가능성)
- Bearish Spike Warning: 과매수 구간(급등 이후 단기 되돌림 가능성)
■ 밴드 & 레벨 시그널
- 피보나치 레벨 간 파동/추세 강도 진단
- 외곽 확장 밴드 돌파 시 강한 추세 혹은 변동성 집중 구간 인식
■ 통합 트레이딩 전략
- 주요 밴드·피보나치 간 바운스, 전환 패턴 기반 반전매매
- 스파이크 신호와 결합한 돌파 추종·추세 확정 대응
- 다중 구간 통과 시 방향성 강화 신호 등급별 분할 대응
====== ◆ 고급 설정 옵션 ======
트레이딩 스타일, 차트 주기, 시장 환경에 따라 모든 항목을 직접 조정할 수 있습니다.
■ 볼린저 밴드 기간 (Bollinger Band Period)
기본값: 20
VWMA 및 표준편차 산출에 적용할 캔들 수
짧게(10~14): 신호 빠르며 노이즈 많음
길게(30~50): 깔끔한 추세 중시
■ 표준편차 계수 (Standard Deviation Multiplier)
기본값: 2.5
밴드 폭 조절
1.5~2.0: 민감, 많이 신호
2.5~3.0: 신뢰도 높고 드문 신호
■ 밴드 확장 비율 (Band Extension Ratios)
기본값: 10%, 20%, 30%, 40%, 50%
기본 밴드에서 외곽 확장 단계
극단 변동성, 피로구간 등 감지
■ ATR 기간 (ATR Length)
기본값: 자동(보통 14~30)
ATR 산출 캔들 수
짧을수록 민감, 길수록 부드러움
■ ATR 배수 (ATR Multiplier)
기본값: 자동(1.75~2.8)
스파이크 신호 감지 문턱값
낮게: 잦고 약한 신호
높게: 드문 강한 신호
■ 피보나치 레벨 (Fibonacci Levels)
기본값: 0.236, 0.382, 0.5, 0.618, 0.786
중심선으로부터 각 밴드 거리
주요 지지/저항, 파동구조 세분화
■ 스파이크 신호 간격 (Spike Signal Interval)
기본값: 7
연속적 신호 과다 방지용 최소 캔들 수
높을수록 과발생 차단
■ 레이블/채색 표시 (Labels & Coloring)
On/Off
가격 레이블·영역 컬러 표시 ON/OFF
시장/전략별로 세부 세팅을 바꿔가며 직접 테스트 해보세요!
====== ◆ 시너지 활용 ======
- 이동평균, RSI, MACD 등과 조합시 신호 필터링
- 기존 수평 지지/저항, 피보나치 리트레이스먼트 등과 병용
- ATR, 켈트너밴드, 거래량 등과 복합 분석 가능
====== ◆ 결론 ======
52SIGNAL RECIPE Bollinger Bands & Fibonacci Spike Signal Matrix는 가격 구조, 변동성 이벤트, 방향성 신호를 하나로 통합한 고급 매매 지원 시스템입니다.
스캘핑, 스윙, 포지션 트레이딩 등 다양한 전략에 맞게 모든 파라미터를 세밀하게 조율할 수 있습니다.
현대 트레이딩 환경에 최적화된 정밀 결정 지원 도구로 활용하세요.
====== ◆ 면책 조항 ======
본 지표는 정보 제공 및 교육 목적입니다.
과거 실적이 미래의 수익을 보장하지 않으므로 반드시 철저한 리스크 관리를 병행하세요.
Swing ReversalSwing Reversal — Indicator Description
What is the Swing Reversal Indicator?
The Swing Reversal indicator is designed to identify high-probability price rejection zones that could mark the beginning of a short- to medium-term reversal. It is based on technical price action patterns, momentum analysis, and volume behavior.
Rather than relying on trend-following signals, this tool looks for localized reversals that occur after failed breakouts or exhaustion moves — typically seen as wick-heavy rejection candles that sweep liquidity and then sharply reverse.
How Does It Work?
The Swing Reversal indicator analyzes a combination of price structure, candle behavior, momentum, and market participation to detect potential reversal points in the market.
It identifies candles that exhibit key characteristics of rejection and liquidity sweeps — commonly seen during turning points in swing trends. These candles are typically marked by:
A sharp rejection of price in one direction
A localized break of recent structure
Subtle shifts in momentum and volume
The indicator uses multiple filters to reduce noise and ensure that signals are based on meaningful price action, not random wicks or volatility spikes.
All signal logic is parameterized — allowing you to fine-tune the detection sensitivity to match the behavior of different assets or market conditions.
Best Used On:
This is a swing-based tool — not intended for scalping or ultra-short-term trading.
📌 For best results, use it on:
1H, 2H, 4H, 12H
Daily and 3D
It performs best when paired with:
Support/resistance zones
Trendline or structure analysis
Momentum confirmation (e.g., divergence, breakout follow-through)
⚠️ Caution
This indicator does not predict tops or bottoms. It identifies technical conditions for potential reversals, and should always be used with confirmation and sound risk management.
Here are some usecases: