Pine Script®指標
趨勢分析
Hardcoded Support and Resistance Level Provider Support and resistance provider for 25 scrips. This can be used for other pine scripts to load these levels.
Pine Script®指標
Market Structure Break & OB Probability Toolkit [LuxAlgo]The Market Structure Break & OB Probability Toolkit indicator provides an institutional framework for identifying high-probability liquidity zones and significant market structure transitions using momentum-based filters and volume analysis.
🔶 USAGE
The indicator aims to provide a systematic approach to structural analysis, allowing traders to identify clear institutional footprints. By integrating statistical filters, the tool helps isolate high-conviction signals from market noise.
🔹 Market Structure Breaks (MSB)
Unlike standard fractal-based breaks, the MSB logic in this toolkit utilizes a Momentum Z-Score filter . This ensures that structural shifts are only highlighted when price breaks a pivot with significant conviction.
Pivot Lookback: Custom sensitivity for identifying swing highs and lows.
Volatility Filtering: Only breaks exceeding the statistical threshold are labeled, helping traders avoid low-momentum fakeouts.
🔹 Institutional Order Blocks (OB)
The script automatically detects and manages Order Blocks based on the candle preceding an MSB. Every zone includes a Point of Control (POC) line for precise entry or target consideration.
Standard OBs: Formed during structural transitions, representing potential institutional interest.
High-Probability OBs (HP-OB): Zones identified with exceptionally high impulse and volume signatures (score > 80%). These are visually distinct to highlight their increased significance.
🔹 Session Range Integration
Traders can track the ranges of the London, New York, Tokyo, and Sydney sessions. This allows for the identification of structural breaks occurring at session extremes or during high-liquidity windows.
🔹 Strategy Application
Trend Direction: Identify the prevailing bias through MSB signals. A bullish MSB followed by a retracement into a Bullish OB provides a classic institutional entry scenario.
Zone Confluence: Look for High-Probability OBs that align with Session Highs/Lows for increased trade conviction.
Re-test Analysis: Enable "Extend Broken OBs" to see how price interacts with flipped liquidity zones.
🔶 DETAILS
The toolkit utilizes several advanced logic components to maintain chart clarity and analytical depth:
Intelligent Mitigation Logic: Active zones are managed in real-time. Traders can choose between "Historical" (shows all past zones) or "Present" (shows only active zones) display modes.
Mitigated Extension: A specialized feature to extend recently broken zones, allowing for re-test analysis of formerly active liquidity.
Overlap Filter: Option to hide overlapping Order Blocks to maintain a clean, actionable chart.
🔹 Analytics Dashboard
The built-in dashboard provides a real-time performance suite:
OB Reliability: A percentage-based efficiency metric tracking how many detected zones have been successfully mitigated by price.
High-Prob Zone Count: A live counter of active HP-OBs currently remaining on the chart.
🔶 SETTINGS
🔹 Market Structure
Pivot Lookback: Defines the sensitivity of the market structure detection by adjusting the lookback period for pivots.
MSB Momentum Z-Score: Sets the statistical threshold for a price move to be considered a valid structural break.
🔹 Visuals
Display Mode: Toggles between showing historical mitigated zones or only currently active ones.
🔹 Order Blocks
Max Active OBs: Controls the maximum number of blocks stored and displayed on the chart.
Extend Broken OBs: If enabled, recently mitigated blocks will remain visible to observe potential re-tests.
Hide Overlapping OBs: Removes redundant zones that occupy the same price area as existing ones.
🔹 Sessions
Show Session Ranges: Global toggle for session visualizations.
Session Toggles: Individual controls to enable London, New York, Tokyo, or Sydney ranges with custom time and color inputs.
Institutional trading concepts and Smart Money Concept (SMC) indicators involve significant risk. This tool is designed for educational and analytical purposes. Past performance is not indicative of future results.
Pine Script®指標
Martell Quantum Sniper v4.9 PremiumMartell Quantum Sniper v4.9 Premium: The Institutional Execution Engine
Overview
The Martell Quantum Sniper v4.9 Premium is a precision-engineered trading system designed specifically for the Micro E-mini NASDAQ (MNQ). Built on the principle of Absolute Confluence, this indicator filters out market noise and identifies high-probability "Sniper A+" entries by synchronizing institutional volume, trend momentum, and market volatility into a single, real-time execution dashboard.
The 8-Engine Confluence System
To protect capital and ensure long-term stability, the system only validates a signal when all 8 core engines are in perfect alignment:
15M Bias Anchor: Provides a macro-trend visual reference to ensure you are trading with the higher-timeframe structure.
EMA 200 (The Trend Filter): Acts as the definitive institutional barrier between bullish and bearish market regimes.
VWAP (The Value Engine): Ensures every entry is executed on the correct side of the daily Volume-Weighted Average Price.
EMA 20 (Momentum Engine): Tracks short-term price acceleration for precise entry timing.
Alpha Trend: A trailing stop and trend identification algorithm that filters out minor pullbacks.
Kalman Hull Trend Score: A noise-reduced trend filter that detects trend shifts with surgical precision.
ADX Force (Intensity Gauge): A mandatory filter set at 25 to ensure the market has the explosive "ignition" required for a successful move.
Adaptive Risk Management: Automatically calculates the optimal MNQ contract size and ATR-based Stop Loss distance to protect the trader's funded account.
Key Features
Instant Trigger Logic: Signals fire at the exact moment of a Kalman color flip, provided all other engines are already aligned.
Ultra-Sharp HUD: A high-fidelity, real-time dashboard that translates complex technical data into a clear "Scanning," "Caution," or "Sniper A+" status.
Built for Fast Markets: Optimized for the 1m, 3m, and 5m charts during the New York Open (9:30 AM - 12:00 PM ET).
Institutional Guardrails: Specifically designed to prevent "over-trading" in low-volatility environments.
Who Is This For?
Designed for the disciplined professional trader who values family stability and long-term wellbeing. This system is ideal for traders managing Prop Firm/Funded Accounts who require a strict, non-emotional framework for capturing NASDAQ trends.
Pine Script®指標
NWOG/NDOG+ [txntradez]NWOG/NDOG+
Track Opening Gaps Like a Pro
Ever wonder why price keeps gravitating back to those overnight and weekend gaps? This indicator helps you visualize and track New Day Opening Gaps (NDOG) and New Week Opening Gaps (NWOG) with precision timing controls designed for serious traders across all markets.
What It Does
This tool automatically identifies and draws opening gaps between session closes and opens. Whether you're trading futures (ES, NQ, YM, RTY), stocks (SPY, QQQ), crypto (BTC, ETH), forex, or any other market, you'll see exactly where price left unfilled zones that often act as magnets for future price action.
NDOG: Tracks weekday session gaps (Monday through Thursday)
NWOG: Tracks weekend gaps (Friday close to Sunday/Monday open)
Key Features
📍 Flexible Time Configuration - Set your exact session times for any market. Configure Electronic Trading Hours (ETH) and Regular Trading Hours (RTH) to match your trading instrument. Works across all timezones.
🎯 Smart Fallback System - Automatically detects zero-gap scenarios and uses alternative reference times to ensure accurate tracking even on slow days.
📊 Real-Time Fill Tracking - Watch as price interacts with each gap. Choose between wick, body, or combined fill measurements to match your trading style.
📈 Fibonacci Levels - Optional 25%, 50%, and 75% quadrant levels within each gap for precise entry and exit planning.
🎨 Fully Customizable - Control colors, line styles, label positions, transparency, and what information gets displayed. Make it yours.
📋 Interactive Status Table - See which gaps you're currently inside, how long they've been active, and their fill progress in real-time.
📊 Historical Analytics (Optional) - Enable advanced analytics to track gap behavior over time and identify high-probability zones.
🎯 Enhanced Reachability (Optional) - Get probability insights on which gaps are most likely to be reached next based on multiple market factors.
Perfect For
Futures, stocks, crypto, and forex traders
Day traders and swing traders across all markets
ICT and Smart Money Concepts practitioners
Anyone who trades gaps as part of their strategy
Traders who want clean, professional gap visualization
⚠️ IMPORTANT DISCLAIMER
This indicator is a visualization and analysis tool only. It does NOT provide trade signals, buy/sell recommendations, or investment advice. All gap identification and probability calculations are for informational purposes. Past gap behavior does not guarantee future results. You are solely responsible for your own trading decisions and risk management. Trading futures, stocks, crypto, forex, and derivatives involves substantial risk of loss. This tool should be used as part of your own comprehensive trading plan and analysis. The indicator simply displays where gaps exist and tracks their fills - what you do with that information is entirely your decision. Always practice proper risk management and never risk more than you can afford to lose.
Pine Script®指標
KING OF INDICATORSKING OF INDICATORS - The Ultimate Volumetric Breakout System
Overview: This is an all-in-one professional trading system that fuses pure Price Action with Volume Analysis. It is designed to filter out fakeouts, identify high-probability breakouts, and provide built-in risk management tools with a flexible backtesting engine.
Key Features & Capabilities:
Smart Multi-Timeframe Levels:
Automatically plots Previous Daily High/Low (PDH/PDL) with customizable line width.
Displays Previous Weekly & Monthly Highs/Lows as fixed, non-repainting institutional levels.
"Legendary Levels" Logic: Identifies and highlights key levels that have held for >7 days (Golden/Purple signals).
Volume King Strategy:
Proprietary algorithm to detect institutional activity ("King Candles") based on volume spikes relative to the average.
Draws dynamic support/resistance zones based on these high-volume candles.
Advanced Signal Types:
Nuclear Combo (☢️): The strongest signal; triggered when a Price Breakout aligns perfectly with a Volume Breakout.
Monster Breakout (💎): A rare, major trend-shift signal triggered by breaking a Monthly High or Low.
Retest Signals (🔵/🟠): Identifies pullbacks to broken levels for safer entry opportunities.
Built-in Backtester & Risk Management:
Visualizes Take Profit (TP1, TP2) and Stop Loss (SL) lines on the chart based on ATR volatility.
Flexible Backtesting: Allows users to test the strategy using either a fixed "Lookback Days" or a specific "Date Range" (Start/End Date) to verify historical performance.
Filters & Dashboard:
Live Dashboard: Displays real-time Trend status (EMA), RSI levels, and the last active signal.
Trend Filter: Optional EMA 200 filter to ensure trades align with the macro trend.
Strong Candle Filter: Ensures breakouts are confirmed by strong body closures.
KING OF INDICATORS - منظومة التداول المتكاملة للاختراقات والسيولة
يُعتبر هذا المؤشر نظام تداول متكامل (All-in-One) يعتمد على دمج "حركة السعر" (Price Action) مع "تحليل السيولة" (Volume Analysis). صُمم خصيصاً لاقتناص الاختراقات الحقيقية، فلترة الإشارات الكاذبة، وتوفير أدوات إدارة مخاطر مدمجة مع نظام باك تست مرن.
أبرز المزايا والقدرات:
المستويات اليومية والزمنية (Smart Levels):
رسم تلقائي لقمم وقيعان اليوم السابق (PDH/PDL) بسماكة قابلة للتعديل.
عرض مستويات الأسبوع والشهر السابق (Weekly & Monthly High/Low) كنقاط دعم ومقاومة رئيسية ثابتة (بدون إعادة رسم).
ميزة "Legendary Levels": تمييز المستويات "القديمة" (التي صمدت لأكثر من 7 أيام) بإشارات خاصة لأن كسرها يكون عنيفاً.
تحليل السيولة (Volume King):
خوارزمية خاصة لكشف "شموع الهوامير" (King Candles) التي تتجاوز معدل الفوليوم الطبيعي.
رسم مناطق (Zones) بناءً على هذه الشموع، وتوليد إشارات عند اختراقها.
إشارات الدخول المتنوعة (Signals):
Nuclear Combo (☢️): أقوى إشارة في المؤشر، تظهر عند حدوث اختراق سعري + انفجار في الفوليوم في نفس الوقت.
Monster Breakout (💎): إشارة نادرة تظهر عند كسر قمة أو قاع شهر كامل (تغيير اتجاه رئيسي).
Retest Signals (🔵/🟠): إشارات لإعادة اختبار المستوى بعد الكسر (فرصة دخول ثانية).
نظام الباك تست وإدارة الصفقات (Backtester):
نظام مدمج لرسم خطوط الهدف (TP1, TP2) ووقف الخسارة (SL) تلقائياً بناءً على الـ ATR.
المرونة الزمنية: إمكانية اختبار الاستراتيجية بناءً على "عدد الأيام" (Days Back) أو تحديد "تاريخ معين" (Date Range) لمراجعة فترات سابقة بدقة.
الفلاتر والوحة التحكم:
Dashboard: لوحة معلومات تعرض حالة الترند (EMA)، قوة الـ RSI، ونوع آخر إشارة ظهرت.
Trend Filter: فلتر لعدم الدخول عكس الاتجاه العام (فوق/تحت متوسط 200).
Pine Script®指標
RSI Fusion RDD Core [v4.21] / TradingArt3dThe RSI Fusion RDD Core is not a conventional oscillator. It is a momentum analysis engine designed for professional traders who demand surgical precision in detecting trend changes.
What makes RDD Core unique?
The heart of this algorithm is my exclusive metric: RDD (Divergent Differential Range). Unlike standard divergences that often produce false signals, the RDD engine analyzes the relative slope strength between RSI and price, filtering market noise and confirming only those discrepancies with a high probability of success, once the asset and its timeframe have been analyzed and configured.
Main Features:
• ⚙️ RDD Core Engine: Advanced divergence detection algorithm with sensitivity-threshold filtering.
• 🎨 Dynamic Fusion Gradient: Premium visual interface that changes color according to market momentum (Bullish/Bearish/Extremes).
• 🖥️ Integrated MTF Dashboard: Multi-timeframe panel to monitor RSI strength across different timeframes without changing charts.
• 🚨 Pre-Alert System: Identification of potential reversals before the Pivot confirms, allowing early decision-making.
• 📏 Pivot Granularity: Manual selection of up to 5 pivot depth levels for comparative short- and long-term analysis.
• 🛡️ Critical Mass Filters: Triple cumulative validation (Price % / RSI % / RDD %) to purify signal quality.
Unlike traditional divergence indicators that only compare highs and lows, this system analyzes the relative strength of both movements.
The core of the indicator is RDD (Divergent Differential Range).
🔬 The calculation that makes it different
In every confirmed divergence structure, the system calculates:
The percentage slope of the RSI
The synchronized percentage slope of price
The absolute difference between both defines the RDD, an objective metric that quantifies how much price movement has decoupled from its momentum.
Not all divergences carry the same weight.
RDD allows measuring and filtering that difference — not eyeballing it.
⚖️ What it brings compared to other indicators
RSI Fusion RDD Core does not aim to generate more signals, but better information:
Distinguishes structural divergences from simple corrections
Filters situations where price keeps advancing without real momentum support
Detects exhaustion, absorption, and loss of control with higher precision
Allows deciding when a divergence deserves attention and when to ignore it
It does not replace the trader’s reading.
It reinforces it.
🎯 Usage philosophy
This indicator is not designed for:
Impulsive scalping
Automated signals
Mechanical entries
It is designed for:
Context reading
Hypothesis confirmation
Market structure and phase analysis
If you want to learn more about RDD Core, continue with...
🧩 SMART DESIGN: INFORMATION WHEN YOU NEED IT 🧩
RSI Fusion RDD Core does not just calculate. It guides.
Every element has been designed so the trader understands what they are seeing without breaking chart readability.
1️⃣ Internal help in every input
Each parameter includes:
Clear description of its function
Direct reference to its impact on the indicator
📌 No external documentation required.
📌 The indicator explains itself from the settings panel.
2️⃣ Informative tooltips on labels and key elements
When hovering over:
Dynamic RSI label
Dynamic RSI divergence label
Dynamic price divergence label
Detailed information is displayed such as:
RSI percentage slope
Price percentage slope
Exact RDD value
Active RSI thresholds and Alerts
Real technical state and pre-alerts
📌 Deep information only when requested.
📌 Clean chart while trading.
3️⃣ Separate RDD labels for RSI and Price
The design does not mix information:
RSI has its own reading
Price has its own reading
Both show the same RDD from different perspectives
This allows:
Reading misalignment, not just divergence
Detecting where the real weakness lies
📌 Analyze without visual overload
4️⃣ Minimalist Pre-Alerts (Anticipation without Noise)
The RSI Fusion RDD Core pre-alert system is designed for traders seeking maximum anticipation without sacrificing chart cleanliness. These signals detect divergence formation in real time, before the pivot confirms.
They don’t shout: Avoid trader visual stress.
They don’t trigger false signals: They act as a “developing scenario” warning, not an immediate execution order.
They don’t fill the screen: They integrate harmonically into the oscillator structure.
Representation and Diagnosis:
Discrete Dots: Mark the momentum trail while divergence develops.
Projected Lines: Cloning of key levels to identify reaction zones.
Memory Management: Automatic cleanup to keep focus on what matters now.
Diagnosis in RSI Label: The tooltip not only informs overbought/oversold, but detects and communicates “BULLISH/BEARISH PRE-ALERT” status.
📌 The attentive trader sees them on the chart; the analytical trader confirms them in the data.
📌 The chart keeps breathing while you anticipate the move.
5️⃣ Gradients with function, not decoration
Colors are not “pretty,” they are informative:
Green / Red → directional control
Purple / Yellow → excess and exhaustion
Central zone → power transition
Extremes → chromatic inversion to signal risk
📌 The eye understands market state before reading numbers.
6️⃣ Full red/green MTF Dashboard
💹 Multi-Timeframe Pro Dashboard (Domain Synchronization)
The multi-timeframe table does not just accompany — it dictates operational bias. Visual hierarchy is optimized so the trader identifies institutional flow at a glance:
Green → Real Bullish Dominance: Price and momentum aligned upward.
Red → Real Bearish Dominance: Selling pressure and negative momentum dominate.
Neutral → Market in Dispute: Indecision or accumulation zones where waiting is better.
Active Timeframe Highlight: Instantly identifies which timeframe you are working on relative to the ecosystem.
Persistence Counters: Shows how long the current dominance has been active, filtering only where persistence matters.
Min/Max RSI Highlight (Extremes): Automatically detects and highlights critical RSI(X) minimum levels. This visual alert allows identifying when a timeframe has reached an extreme exhaustion state before the rest, enabling anticipation of structural reversals with surgical precision.
📌 At a glance you know who’s in control, since when, and who is reaching its limit.
7️⃣ Integrated Time Filter (Total Analysis Control)
RSI Fusion RDD Core incorporates a high-precision Date Range Filter that acts as a master switch for the entire indicator ecosystem. Unlike conventional filters, this system synchronizes both structural detection and the RSI calculation engine.
This system guarantees:
Selective Computation: RSI and its dynamic components only process data within the defined time window, eliminating noise from irrelevant periods.
Structural Isolation: Ignores pivots and divergences outside the range, preventing obsolete signals from distorting current reading.
Absolute Visual Cleanliness: Allows focus on specific chart segments with full clarity.
Phase-Based Analysis: Facilitates studying economic cycles, high-volatility events, or specific market phases.
Especially useful for:
Post-Event Analysis: Evaluate RSI reaction after specific macroeconomic news.
Rigorous Visual Backtesting: Check effectiveness of RSI and RDD thresholds under selected historical conditions.
Comparative Studies: Analyze how divergences behaved across different quarters or years.
Signal Auditing: Clean the chart to focus only on the current trading session.
📌 The trader decides when the story begins and ends.
📌 Outside that range, the indicator remains in absolute silence.
8️⃣ Advanced information without sacrificing cleanliness
The whole system follows one clear rule:
🚫 If you’re not looking for it, it shouldn’t bother you.
That’s why:
The panel is optional
Labels are selective
Fills are configurable
Price overlay can be disabled
...
📌 The indicator adapts to the trader, not the other way around.
9️⃣ “Real premium” experience, not cosmetic
Nothing is there by chance:
Logically grouped inputs
Clear names, not cryptic
Visible states, not assumptions
Constant but controlled visual feedback
📌 It’s not a “pretty” indicator.
📌 It’s a professional reading instrument.
🔟 Cumulative Power Filters (Triple Validation)
RSI Fusion RDD Core introduces a “quality funnel” system where you decide the strictness level for each signal. You no longer rely only on sight — you can now quantify the strength required for a divergence to be worthy of your attention.
The system uses three independent, cumulative thresholds:
• Price Δ%: Filters sideways noise by requiring minimum price displacement from the previous pivot. If price hasn’t moved enough, the signal is ignored.
• RSI Δ%: Validates oscillator energy. Ensures the momentum shift has the “stride” needed to be considered a probable reversal.
• Minimum RDD: The final judge measuring decoupling between both.
📌 Smart Configuration: If a threshold is set to 0, it is automatically disabled.
📌 Total Control: The signal only appears if it simultaneously exceeds all activated filters.
📌 Transparency: The activation state of each filter is reported in real time in the dynamic label tooltip.
“Don’t look for more signals — look for signals with greater critical mass.”
🧠 DESIGN PHILOSOPHY
More information does not mean more noise. It means knowing exactly when to show it.
RSI Fusion RDD Core is built for traders who:
Seek clarity
Understand divergences but want to filter them
Prefer context over automatic signals
Trade less, with greater edge
Value structural reading over impulsiveness
Demand absolute control over what is seen… and what is not
📌 It does not generate buy or sell recommendations.
📌 It provides critical information for conscious decisions.
🔒 ACCESS
This indicator is private / invitation only.
Access is granted selectively to traders who understand the approach and the responsibility of operating with advanced information.
RSI Fusion RDD Core does not try to predict price.
It measures how much things are breaking inside.
🏹 When the difference is enough… the market is forced to react. 🏹
Pine Script®指標
NTR Alpha Pro (SMC & Risk Manager)
Unlock the Secrets of Market Makers with a Data-Driven Proprietary System.
NTR Alpha Pro is a high-performance, all-in-one trading ecosystem designed for professional traders who demand precision, clarity, and discipline. Built on advanced Institutional Flow Logic, this system deciphers complex market data into actionable visual zones and real-time analytics.
Powered by the latest Pine Script™ v6 engine, NTR Alpha Pro delivers institutional-grade insights without cluttering your chart with traditional lagging indicators.
yashashreeenterprises.in
t.me
whatsapp.com
🛡️ THE CORE PILLARS OF NTR ALPHA PRO
1. Smart Institutional Zones (Proprietary Logic)
Stop guessing where the "Big Players" are active. Our algorithm automatically identifies high-probability Accumulation and Distribution Zones.
Dynamic Zone Flipping: Recognizes when market sentiment shifts and converts old zones into new points of interest.
Intelligent Zone Merging: Uses a unique overlap algorithm to consolidate data, giving you the cleanest possible view of high-interest price levels.
2. Central Intelligence Dashboard
A comprehensive command center that monitors market health in real-time across multiple layers.
Multi-Layer Trend Matrix: Analyzes high-timeframe structural health to ensure you are always aligned with the dominant market force.
Precision Entry Engine: A proprietary "Confirmation Matrix" that filters out market noise, showing you exactly when momentum and volume are in your favor.
Market Flow Index: Monitors the intensity of buying and selling interest, distinguishing between true accumulation and low-interest retail movements.
3. Professional Risk & Capital Management
The most advanced risk engine ever built into a TradingView tool. Survival is the key to profit.
Automated Position Sizing: Instantly calculates your exact Quantity or Lots based on your specific capital and risk appetite.
Universal Currency Support: Seamlessly handles INR (₹), USD ($), and EUR (€) calculations.
Volatility-Adjusted Safeguards: Automatically calculates precise Exit/Stop levels based on current market intensity, protecting you from sudden spikes.
4. Global Market Session Tracker
Stay ahead of global volatility by tracking the opening and overlapping of major world financial hubs, integrated directly into your local timezone.
🎯 STRATEGIC ADVANTAGES
No Technical Overload: We have hidden the complex mathematics. You only see what matters: Zones, Trend, and Risk.
Institutional Alignment: Designed to follow the "Smart Money" footprints rather than lagging retail signals.
Universal Application: Highly effective for Intraday, Scalping, and Swing trading across Equities, Forex, and Digital Assets.
🔔 PROPRIETARY ALERT SYSTEM
Stay connected to the market without staring at the screen. Get notified for:
Zone Interaction: Instant alerts when price enters a high-probability institutional area.
Confirmed Structural Entry: Alerts triggered only when the system confirms a valid trade setup.
#InstitutionalTrading #MarketStructure #ProTrader #PriceAction #TradingEdge #RiskManagement #IntradayStrategy #SmartMoney #TradingIntelligence #NiftyPro #BankNifty #ProfessionalTrading
⚠️ ACCESS & LICENSE
NTR Alpha Pro is an Invite-Only Premium Script.
To secure your private license and join the elite circle of data-driven traders,
contact us:
🌐 Website: yashashreeenterprises.in
📩 Telegram/Direct Message: t.me
Note: This system uses proprietary calculation methods. Access is strictly controlled to maintain the edge for our users.
OFFICIAL DISCLAIMER: NTR ALPHA PRO
1. Financial Risk Warning
Trading financial instruments (including Stocks, Forex, Futures, and Cryptocurrencies) involves a high level of risk and may not be suitable for all investors. The high degree of leverage available can work against you as well as for you. Before deciding to trade, you should carefully consider your investment objectives, level of experience, and risk appetite. There is a possibility that you could sustain a loss of some or all of your initial investment; therefore, do not invest money that you cannot afford to lose.
2. Not Financial Advice
The NTR Alpha Pro indicator and all associated content are provided for educational and informational purposes only. The proprietary logic, analytics, and automated zones generated by this tool do not constitute financial, investment, or trading advice. Any trades you place based on the signals or data provided by this system are taken at your own risk.
3. Accuracy and Performance
While NTR Alpha Pro is built using advanced data-driven algorithms, past performance is not indicative of future results. No trading system can guarantee a 100% win rate or profit. The financial markets are unpredictable, and various factors (including news events, market volatility, and liquidity) can affect the accuracy of the system's output.
4. Proprietary Intelligence
NTR Alpha Pro utilizes a unique, proprietary calculation engine. The system is designed to provide an "edge" by analyzing institutional market flow, but it should be used as one of many tools in a comprehensive trading plan. Users are encouraged to perform their own due diligence and technical analysis.
5. Limitation of Liability
By using this script, you agree that Yashashree Enterprises (the developers) shall not be held liable for any direct or indirect financial losses, damages, or emotional distress resulting from the use of NTR Alpha Pro. You are solely responsible for your trading decisions and capital management.
6. Individual Results
Individual results will vary based on the trader’s discipline, psychological mindset, and execution speed. Trading requires patience and a strict adherence to risk management protocols.
Pine Script®指標
Market ContextMarket Context is a context-based trading indicator designed to evaluate entry conditions , not to blindly follow signals.
The indicator combines:
trend
momentum
strength of movement
volatility
volume
multi-timeframe context
and presents them in a clear and structured decision-making table.
What the indicator does
analyzes the market across multiple dimensions
separates valid trading conditions from noise and chop
shows when an entry is justified and when it is better to stay out
does not repaint
suitable for manual trading and as a foundation for algorithmic logic
Core idea
Context first — entry second.
The indicator does not say “buy” or “sell” without conditions.
It shows how prepared the market is for continuation.
Table modes
Data Mode shows the current market state:
active signal (Strong / Early / Neutral)
ADX and its dynamics
momentum (Oscillator)
DI dominance
AI Bias (aggregated assessment)
volume and volatility
HTF context
multi-timeframe Supertrend grid
Help Mode displays a checklist of entry conditions:
separate rules for LONG and SHORT
what allows an entry
what blocks an entry
visual representation without formulas or overload
This mode is designed primarily for learning and beginners.
Multi-timeframe context
The indicator takes into account:
the local timeframe
higher timeframe (HTF)
direction and alignment between timeframes
This helps avoid entries:
against the higher-timeframe trend
during low-liquidity / night chop
in weakening momentum
Important
This indicator is not a trading recommendation.
It is not intended for one-click automated trading.
Best results are achieved when combined with:
market structure
key levels
understanding of time-of-day and liquidity conditions
Who this indicator is for
traders tired of noisy signal-based indicators
those who trade context rather than individual signals
beginners who need a clear checklist
experienced traders — as a filter and confirmation tool
Settings
All key parameters (thresholds, weights, HTF settings) are configurable and can be adapted to the instrument and trading style.
Pine Script®指標
RSI Momentum Signal & O59 Elite QuantRSI Momentum Signal is a technical analysis indicator designed to highlight potential momentum-based reversal points using the Relative Strength Index (RSI).
This script combines short-term RSI momentum behavior with basic candle structure to visualize possible bullish and bearish reaction zones directly on the chart.
How It Works
A fast RSI-based momentum calculation is used to color price bars when short-term momentum reaches extreme levels.
Buy and Sell signals are generated when momentum conditions align with RSI overbought or oversold levels and basic candle direction.
All signals are plotted visually on the chart to support discretionary analysis.
Intended Use
This indicator is not a standalone trading system. It is designed to be used as a supportive analytical tool together with other technical analysis methods such as trend structure, price action, and support/resistance levels.
Dynamic Trendline (Filtered Price Tracking)
The trendline within the indicator uses a calculation structure that smooths and tracks price data. This structure aims to reduce the visual impact of short-term fluctuations and make the overall direction of the price more readable.
The trendline changes color depending on the direction of movement to visually distinguish directional changes. This color difference is for informational purposes only and makes it easier to track the trend direction on the chart.
Dashboard
The dashboard, which can be opened and closed optionally, contains:
The symbol being traded
Time period
Indicator information
The dashboard is for informational purposes only and does not impair the readability of the graph.
Disclaimer
This script does not provide financial advice and does not guarantee any trading results. All trading decisions remain the sole responsibility of the user.
Use this indicator for educational and analytical purposes only.
Pine Script®指標
dextrades smt+cisd+liquidity poolsThis Pine Script indicator, the Institutional Sweep Suite + Dashboard, is a comprehensive technical analysis tool designed for Inner Circle Trader (ICT) and SMC (Smart Money Concepts) traders. It focuses on identifying liquidity raids, session highs/lows, and Intermarket Divergence (SMT).
Here is a breakdown of how the indicator works and how you can integrate it into your trading strategy.
## Core Features
1. Liquidity Pool Tracking
The script automatically identifies and tracks key institutional liquidity levels from higher timeframes (HTF):
* Daily: Previous Day High (PDH) and Low (PDL).
* Weekly: Previous Week High (PWH) and Low (PWL).
* Monthly: Previous Month High (PMH) and Low (PML).
2. Session Range Mapping
It tracks specific price boundaries for the major trading sessions (mapped to New York time):
* Asia Range: 8:00 PM – 12:00 AM (20:00–00:00).
* London Range: 2:00 AM – 5:00 AM (02:00–05:00).
* New York: Monitors for sweeps of the Asia/London ranges during the NY session.
3. SMT Divergence & CISD
* SMT (Smart Money Technique): It compares the current asset (e.g., NQ) with a correlated symbol (e.g., ES). If one makes a new high/low while the other fails to do so, it signals an SMT divergence, suggesting institutional manipulation.
* CISD (Change in State of Delivery): Marked by small white triangles, these indicate an immediate shift in price momentum following a sweep, signaling that the "state of delivery" has likely flipped.
4. Real-Time Dashboard
A clean table in the top-right corner summarizes which liquidity pools have been "Swept" and which remain "Untouched" for the current day.
## How to Use It
Step 1: Identify the Sweep
Watch for price to trade above a high (like PDH or Asia High) or below a low. The script will generate a label if the price pierces the level but closes back within the range (a "Stop Run").
Step 2: Look for Confirmation
A sweep alone is just a hint. Look for the script to add:
* +SMT Label: This is a high-conviction signal indicating that the correlated markets are de-syncing at a key level.
* CISD Triangle: After the sweep, look for the white triangle. This confirms that price is moving away from the liquidity pool with intent.
Step 3: Execution
* Bearish Setup: Price sweeps a High (PDH/PWH/Asia H), an SMT divergence appears, and a bearish CISD (downward triangle) forms. Target the opposing liquidity (e.g., Asia Low).
* Bullish Setup: Price sweeps a Low (PDL/PWL/Asia L), an SMT divergence appears, and a bullish CISD (upward triangle) forms. Target the opposing liquidity (e.g., London High).
## Recommended Settings
* Correlated Symbol: If you are trading Nasdaq (NQ), set the SMT Comparison Symbol input to CME_MINI:ES1! (S&P 500). If trading EURUSD, set it to DXY (US Dollar Index).
* Timeframe: This suite is most effective on the 1-minute to 15-minute timeframes for intra-day entries.
> Note: The script uses New York time (America/New_York) for session calculations. Ensure your chart's timezone is synced or adjust the input if you operate in a region with different daylight savings rules.
IMPORTANT set pivot look back to 10, set nq settings to smt alert and set es settings to liquidity sweep must have indicator on both tickers
Pine Script®指標
Omega Stats Signal Pro趋势统计信号版
Short Description
A trend statistical indicator based on Omega MA algorithm, integrated with smart risk management and sniper filters to generate clear long/short trading signals.
Full Description
This indicator is built on the proprietary Omega moving average algorithm, combining trend statistical analysis with dual trading strategies to adapt to different market conditions. It features smart risk management with auto-adaptive loss streak threshold and multiple sniper filters to screen high-quality trading signals, while providing real-time dashboard, detailed trade logs and quant-friendly JSON alerts for easy robot integration.
Key Features:
Dual strategy modes: Reverse Hedge (one position at a time) & Dual Independent (separate long/short management)
Core Omega/Omega S MA algorithm for accurate trend detection
Smart Risk Management: Auto-adaptive loss streak threshold (custom confidence) or manual fixed value
Professional sniper filters: MFE (Maximum Favorable Excursion) strength, minimum profit, and forced take-profit by holding time
Real-time dashboard with position status, risk radar, and historical trade statistics
Quant-friendly JSON format alerts & detailed Pine Logs for trade tracking
Overlay design with trend background color and clear long/short signal labels
Works on multiple timeframes and all asset classes (stocks, forex, crypto, futures)
Pine Script®指標
High Breakout PRO - Huy Hoang Trader
# High Breakout PRO - Huy Hoang Trader - Strategy Description
## 🚀 Overview
**High Breakout PRO** is a professional-grade Trend Following strategy designed to capture major market moves while strictly managing risk. Built on the core philosophy of "Price Action Breakouts," this script enhances the classic Donchian Channel breakout method with modern risk management tools like the **Hybrid Exit** and **EMA Trend Filter**.
This strategy is optimized for **Gold (XAUUSD)**, **Bitcoin (BTC)**, and **Major Stocks (AAPL, AMZN)** on **H4 and Daily** timeframes.
## 💎 Key Features
1. **Trend Filter (EMA):** Only takes long positions when the price is above the 200-period EMA. This filters out counter-trend noise and significantly improves winning probability.
2. **Hybrid Exit Mechanism ("Holy Grail"):** A unique dynamic trailing stop that combines:
* **Price Structure:** Uses the lowest low of the last Y bars (Donchian Support).
* **Volatility:** Uses ATR-based trailing (Chandelier Exit logic).
* *Logic:* The system automatically chooses the **tighter** (higher) stop level between the two, ensuring you lock in profits rapidly during strong volatility while giving the trade room to breathe during accumulation.
3. **Professional Visuals:** A refined "Wealth & Earth" themes (Gold/Silver/Brown) specifically designed to reduce eye strain and provide clear, professional signal visibility without chart clutter.
## 🛠 Strategy Logic
### entry rules
* **Breakout:** Price closes above the Highest High of the last `X` bars (Default: 20).
* **Trend Confirmation:** Closing Price > EMA 200 (Configurable).
### Exit Rules
* **Dynamic Stop Loss:** The trade is closed when price breaches the **Hybrid Trailing Stop**.
* The Trailing Stop never moves down. It only moves up as price increases.
* It effectively adapts to both slow-grinding trends and explosive spikes.
## ⚙️ Best Settings (Recommended)
* **Timeframe:** H4 (Swing Trading) or Daily (Position Trading).
* **Entry Period (X):** 20
* **Exit Period (Y):** 10
* **Trend Filter:** ON (EMA 200)
* **Risk Management:** Hybrid Mode (ATR Multiplier 3.0)
## ⚠️ Disclaimer
This strategy follows trends. It may experience drawdowns during choppy/sideways markets. Always use proper risk management (position sizing) and backtest on your specific asset before live trading.
---
*Developed by Antigravity. Empowering traders with institutional-grade tools.*
Contact for work: www.facebook.com
Pine Script®策略
ORB + Smart Level Manager [FINAL V9.2 - CD Universal Cycle]Professional Intraday Level Manager for Indian Indices:
Overview Index Smart Levels is a comprehensive technical suite designed for Nifty 50, Bank Nifty, and Sensex traders. Unlike standard pivot indicators, this script uses a mathematical "ladder" logic and multi-timeframe ORB analysis to identify high-probability institutional support and resistance zones.
🚀 Key Features Bulletproof Stability Logic (6HR Auto-Hold):
Engineered to handle special trading sessions (like Muhurat or Budget days). The script locks strikes to the previous settlement price and only "flips" to new data 6 hours after market close (09:30 PM IST), ensuring your levels remain static and updates the revised settlement price reliable during live trading.
Mathematical T & L Series Ladders:
Uses ORB to project dynamic "Target" (T) and "Level" (L) series support/resistance lines. Sure targets. Shows only current day.
Hybrid Option Cross-Plotting:
Automatically detects the correct ATM strike for both CALL and PUT, which will decide the market moving levels and shown as dashed reference lines. This concept works most efficiently.
Smart Market Status Table:
A real-time dashboard tracking Trend (Day/2H/1H/15M), RSI, ADX Trend Strength, SMC (Break of Structure), and Momentum in one compact view. It will show in first 15 mins, whether the market is trending bullish/bearish or Range.
📖 How to Use Opening Range:
Watch for price action relative to ORB. Mostly MID lines will confirm the direction, if the first 15 mins is above MID then it may be bullish then watch for the Targets and if the first 15 mins is below MID then it may be bearish then watch for the negative Targets. Side ways, refer to day trend status in the market status table for trending or range.
Ladder Targets:
Use the T-Series for short-term scalp targets and the L-Series for major intraday reversals. if the Target lines been broken strongly then it will reach next target for sure except, if L series lines are not before the target lines. Even market can go multiple targets, this script will automatically show the next targets/levels.
Cross-Plot Confirmation:
Use the dashed purple/red/green lines to see where the market is trapped or finding strength. If any Low has been broken then it has high probability to reach or break the high.
Pine Script®指標
RS Filtered RSIRS Filtered RSI (RSF RSI) | MisinkoMaster
The RS Filtered RSI is an advanced RSI-based indicator that enhances the traditional RSI by applying a custom filtering technique using Fourier transform principles. This reduces noise and improves the clarity of signals, helping traders better identify trend direction and potential reversals.
Key Features
Combines classic RSI calculation with Fourier-based filtering for noise reduction
Dynamically adapts to price momentum using Relative Strength filtering
Provides clear bullish and bearish trend signals with customizable thresholds
Includes overbought and oversold levels for better entry and exit timing
Plots divergence histogram to highlight momentum changes
Candle coloring aligns with trend direction for intuitive reading
Highly configurable via inputs for RSI length, filter length, Fourier length, and thresholds
How It Works
Calculates a standard RSI on the selected price source over the chosen length.
Applies a Discrete Fourier Transform (DFT) on recent price data to extract dominant frequency components and filter noise (code adapted from @BackQuant).
Uses Fourier magnitudes combined with RSI values to build a filter that strengthens the RSI signal and filters weak moves.
Applies upper and lower thresholds on the filtered RSI to define bullish and bearish trends.
Visualizes trend signals, divergence, and overbought/oversold zones with colored plots and candles.
Inputs Overview
Length — RSI calculation period
Source — Price input (default: close)
Filter Length — Length for Relative Strength filter
Fourier Length — Number of bars used for Fourier transform
Upper Threshold — Level above which bullish trend is signaled
Lower Threshold — Level below which bearish trend is signaled
Overbought — RSI level considered overbought
Oversold — RSI level considered oversold
Usage Notes
Best suited for traders who want a smoother, less noisy RSI signal especially in volatile markets.
Can be combined with other indicators or price action for better confirmation.
Adjust Fourier length and filter parameters to balance smoothness and responsiveness.
Use divergence histogram to spot momentum shifts early.
Candle coloring makes trend identification more intuitive.
Not a standalone trading signal — always backtest and manage risk accordingly.
Shout Out
Special thanks to @BackQuant for the Fourier transform code that inspired the filtering technique in this indicator.
Disclaimer
This indicator is for educational use only and does not constitute financial advice. Trading involves risk. Please do your own research and trade responsibly.
Pine Script®指標
True Range Smoothed SuperTrendTrue Range Smoothed SuperTrend (TRS SuperTrend | MisinkoMaster)
The True Range Smoothed SuperTrend is an innovative trend analysis indicator designed to identify clear market trends while minimizing noise. By combining a smoothed price source weighted by true range values with an ATR-based volatility multiplier, this tool delivers reliable trend signals adaptable to a wide variety of asset classes and timeframes.
It’s particularly useful for traders seeking a versatile trend-following system that balances sensitivity and stability.
🔍 Concept & Idea
The indicator enhances the classic SuperTrend concept by using a true range–weighted smoothing of price data instead of raw price or simple moving averages. This weighting helps focus on periods with higher volatility, improving the relevance of trend detection.
Along with smoothing, the indicator applies an ATR-based volatility multiplier to dynamically adjust the upper and lower trend bands, adapting to current market volatility conditions.
⚙️ How It Works
True Range Weighted Smoothing:
The source price (default: low) is multiplied by the true range values over the lookback period.
These weighted values are summed and normalized by the total true range sum.
The result is further smoothed using an Exponential Moving Average (EMA) with a length proportional to the square root of the input length, reducing noise while preserving trend responsiveness.
ATR-based Bands:
The Average True Range (ATR) is calculated with the same length as the smoothing period.
The ATR is multiplied by a user-defined multiplier to establish dynamic upper and lower bands around the smoothed price.
Trend Determination:
When the source price crosses above the upper band, a bullish trend is signaled.
Conversely, crossing below the lower band signals a bearish trend.
These crossings update the trend state, which controls plotted bands and trend labels.
🧩 Inputs Overview
Length – Controls the lookback period for true range weighting, ATR calculation, and smoothing. Affects sensitivity and smoothness (default 37).
Source – Price source used for calculation, defaulting to low.
Multiplier – Scales the ATR bands to adjust volatility sensitivity (default 1.45).
📌 Usage Notes
The TRS SuperTrend works well across various asset classes and timeframes.
The true range weighting improves trend detection in volatile markets by emphasizing price moves during active periods.
Adjust the length and multiplier inputs to balance between noise reduction and responsiveness for your specific market and strategy.
Trend changes are visually marked with “𝓛𝓸𝓷𝓰” and “𝓢𝓱𝓸𝓻𝓽” labels directly on the chart.
Background fills between bands and price improve visual clarity.
Combine with other confirmation tools and risk management practices for best results.
Not a standalone trading system; always validate and backtest prior to live trading.
⚠️ Disclaimer
This script is provided for educational and informational purposes only and does not constitute financial advice. Trading involves risk and users should perform their own analysis before making trading decisions.
Enjoy smoother and clearer trend analysis with the True Range Smoothed SuperTrend!
Pine Script®指標
Filtered Percentile OscillatorFiltered Percentile Oscillator (FPO | MisinkoMaster)
The Filtered Percentile Oscillator is a modern trend-following tool designed to combine the power of percentile ranking with adaptive trend strength filtering. By integrating a filter based on ADX strength, this oscillator aims to reduce noise and improve signal quality, helping traders identify more reliable bullish and bearish momentum zones.
This indicator works well across different markets, especially where volatility and trend clarity fluctuate. Although it can be noisy at times, the intelligent filtering mechanism provides strong potential for spotting actionable trend signals.
🔍 Concept & Idea
The idea behind the Filtered Percentile Oscillator is to use the percentile rank of price changes as a normalized measure of momentum, then apply an adaptive filter based on the Average Directional Index (ADX) to adjust sensitivity dynamically.
By combining these two concepts:
The Percentile Oscillator captures how extreme the current price is relative to recent price history.
The ADX-based filter adjusts threshold levels and confirms if the market is trending strongly enough to trust these percentile signals.
This dual-filtering mechanism improves the indicator’s ability to avoid false signals caused by noisy or non-trending environments.
⚙️ How It Works
The indicator calculates the Percentile Rank of the user-selected price source over a defined length (len). This percentile oscillator oscillates between -100% and +100%, reflecting relative price positioning.
It calculates the ADX and its percentile rank over a separate filter length (adx_len and ap_len) to estimate trend strength and market activity.
A combined potential filter checks if the sum of the absolute percentile oscillator and ADX percentile exceeds a user-defined threshold (pot_t). This filter controls whether signals are considered valid.
Thresholds for long and short signals dynamically adapt based on whether the ADX percentile exceeds the filter threshold (adx_t):
When strong trend strength is detected (ADX percentile > threshold), tighter upper and lower thresholds (ut and lt) apply to capture sharper trend signals.
When trend strength is weaker, wider thresholds (utm and ltm) are used to filter noise and reduce false signals.
Trend states are determined by comparing the percentile oscillator to these adaptive thresholds and validating the potential filter condition.
Overbought and oversold zones are also plotted for identifying potential reversal or exhaustion areas.
🧩 Inputs Overview
Length – Controls the lookback period for the Percentile Oscillator calculation (default 29).
Source – The price data source used for oscillator calculation (default: close).
Filter Length – Lookback period for ADX calculation used as a filter (default 12).
Filter % Length – Length used to calculate the percentile rank of the ADX filter (default 8).
Trending Upper Threshold – Upper bound for bullish signals when trend strength is strong (default 10).
Trending Lower Threshold – Lower bound for bearish signals when trend strength is strong (default -10).
Ranging Upper Threshold – Upper bound for bullish signals when trend strength is weak (default 15).
Ranging Lower Threshold – Lower bound for bearish signals when trend strength is weak (default -15).
Sum Filter Threshold – Minimum combined percentile value required to validate signals (default 100).
Filter Threshold – Minimum ADX percentile value required to switch to tighter thresholds (default 50).
Overbought – Level indicating overbought conditions for the oscillator (default 80).
Oversold – Level indicating oversold conditions for the oscillator (default -80).
📌 Usage Notes
Adaptive Filtering: The indicator dynamically adjusts sensitivity to market trend strength, reducing false signals during ranging or low-activity periods.
Normalized Momentum: Using percentile ranks allows comparison across different instruments and timeframes on a consistent scale.
Trend Confirmation: The ADX percentile filter ensures signals are stronger and more reliable when the market is trending.
Visual Guidance: Colored plots, threshold lines, and background fills improve signal interpretation and decision-making.
Customization: Thresholds and lengths can be fine-tuned for different markets or trading styles.
Complementary Use: Best combined with volume analysis, price action, or other indicators for comprehensive trade confirmation.
Backtest First: Always validate settings on historical data to match your preferred instrument and timeframe before live trading.
⚠️ Disclaimer
This indicator is provided solely for educational and analytical use. It is not financial advice. Trading involves risk, and users should perform their own due diligence before making trading decisions.
Enjoy improved trend filtering with the Filtered Percentile Oscillator!
Pine Script®指標
Adaptive For LoopAdaptive For Loop (AFL | MisinkoMaster)
The Adaptive For Loop is an innovative trend-following indicator designed to deliver fast and reliable signals while minimizing false positives. By dynamically assessing the relationship between current and historical price data across multiple price components—open, high, low, and close—this tool filters out noise and highlights the strongest trend signals.
Unlike traditional indicators that rely on a single price input, Adaptive For Loop harnesses the combined strength of multiple price points, intelligently selecting the most relevant signal to adapt to changing market conditions. This approach helps traders identify genuine trend momentum with clarity and speed.
🔍 Concept & Idea
The idea behind Adaptive For Loop is to improve trend detection by simultaneously evaluating multiple price sources instead of just one. Each price component (open, high, low, close) undergoes a scoring process comparing the current price to a series of historical prices within a user-defined lookback range.
Since different price points may exhibit varying degrees of noise or trend clarity at different times, the indicator selects the source with the strongest directional signal based on absolute scoring. This adaptive selection reduces noise and enhances signal reliability while maintaining fast responsiveness.
⚙️ How It Works
The indicator performs a looped comparison for each price series (open, high, low, close) over a range specified by the user (from start to end bars ago).
For each bar in the range, it increments or decrements a score depending on whether the current price is higher or lower than the compared historical price.
After scoring all four price sources, the indicator selects the score with the greatest absolute value to represent the dominant market momentum.
This dominant score is then evaluated against user-defined upper and lower thresholds to determine the market trend state:
Above the upper threshold: bullish/uptrend signal
Below the lower threshold: bearish/downtrend signal
Between thresholds: neutral/no clear trend
The indicator plots the score, thresholds, and highlights the trend visually, including colored candlesticks representing the detected trend.
🧩 Inputs Overview
From (start) – Defines the start bar offset for the lookback range in the for loop (default 0).
To (end) – Defines the end bar offset for the lookback range in the for loop (default 45).
Upper Threshold – Score level above which an uptrend signal is triggered (default 39).
Lower Threshold – Score level below which a downtrend signal is triggered (default -12).
📌 Usage Notes
Adaptive Selection: The indicator adapts by selecting the price source with the strongest trend signal, reducing false signals caused by noisy individual price inputs.
Speed and Noise: Designed for fast execution and minimal noise, making it especially useful in volatile markets such as BTCUSD.
Visual Clarity: Colored candlesticks and score plots help traders quickly identify trend direction and strength.
Customization: Users can adjust the lookback range and thresholds to fit different assets and timeframes.
Complementary Tool: Best used alongside other confirmation indicators and sound risk management practices.
Backtesting Recommended: Always backtest and validate settings on historical data to optimize performance for your specific market.
⚠️ Disclaimer
This indicator is provided for educational and analytical purposes only and does not constitute financial advice. Trading involves significant risk, and users should perform their own due diligence before making any investment decisions.
Enjoy trading with Adaptive For Loop!
Pine Script®指標
Momentum RSIMomentum RSI (MRSI | MisinkoMaster)
Momentum RSI is an enhanced version of the classic Relative Strength Index (RSI) developed by J. Welles Wilder. This indicator integrates momentum components directly into the RSI calculation, resulting in a faster, smoother oscillator that helps traders identify trend strength and value zones with greater precision.
Unlike the traditional RSI, which relies on a fixed smoothing approach, the Momentum RSI dynamically incorporates momentum derived from differences between moving averages of RSI values over different lookback periods. This improves signal responsiveness while reducing noise, providing clearer insights for both trend-following and mean-reversion trading strategies.
🔍 Concept & Idea
Momentum RSI aims to improve the original RSI by adding momentum elements that speed up its reaction to price changes without sacrificing smoothness. This hybrid approach helps:
Capture early signals in trending markets
Reduce false signals during sideways or choppy conditions
Highlight overbought and oversold zones more effectively
Provide additional momentum context for more informed trading decisions
By combining RSI with momentum derived from moving average differences, the indicator balances sensitivity and stability for a versatile application across different asset classes and timeframes.
⚙️ How It Works
The Momentum RSI calculation involves several key steps:
Standard RSI Calculation:
The indicator first calculates the classic RSI using user-defined length and smoothing parameters. Users can customize the RSI source price and the smoothing moving average (MA) type applied (options include RMA, SMA, EMA, WMA, DEMA, TEMA, HMA, ALMA).
Momentum Derivation:
Two versions of the RSI are computed with different smoothing lengths—a base RSI and a longer smoothed RSI. The difference between their moving averages represents a momentum component that measures the short-term trend strength.
Additional Momentum:
The difference between shorter-length and longer-length RSI calculations adds another momentum layer, reflecting momentum shifts over different timescales.
Momentum Integration:
These momentum components are combined and added to the previous RSI value, resulting in a momentum-enhanced RSI value (mrsi) that oscillates between 0 and 100.
Trend Detection:
Customizable upper and lower thresholds define long and short signal zones, allowing users to interpret when the market is trending bullish or bearish.
Overbought/Oversold Zones:
Additional thresholds highlight extreme value zones for potential mean-reversion trades.
🧩 Inputs Overview
RSI Length - Controls the primary RSI calculation length (default 20).
Source - Selects the price source for the RSI calculation (default: close).
Smoothing Length - Length used to smooth RSI values with the chosen MA type (default 12).
MA Type - Moving average method used for smoothing (options: RMA, SMA, EMA, WMA, DEMA, TEMA, HMA, ALMA).
ALMA Offset - Offset parameter for ALMA smoothing (applicable only if ALMA is selected).
ALMA Sigma - Sigma parameter for ALMA smoothing (applicable only if ALMA is selected).
Upper Threshold - RSI level above which a bullish (long) signal is triggered (default 55).
Lower Threshold - RSI level below which a bearish (short) signal is triggered (default 45).
Overbought Threshold - RSI level indicating overbought conditions (default 85).
Oversold Threshold - RSI level indicating oversold conditions (default 15).
📌 Usage Notes
Versatile Application: Use Momentum RSI for both trend-following and mean-reversion strategies.
Signal Clarity: The momentum integration reduces noise, helping avoid false breakouts and improving entry timing.
Customization: Adjust smoothing lengths and MA types to match the characteristics of your trading style or the specific asset.
Visual Aids: Background colors, candle coloring, and shape markers facilitate quick interpretation of momentum strength and trend changes.
Threshold Sensitivity: Fine-tune thresholds to balance between early signals and signal reliability.
Intrabar Updates: Signals may update on lower timeframes for responsive trading.
Combine with Other Tools: For best results, use Momentum RSI alongside volume, price action, or other confirmation indicators.
Backtest Before Live Trading: Always validate settings on historical data to ensure suitability for your trading instrument and timeframe.
⚠️ Disclaimer
This script is intended for educational and analytical purposes only and does not constitute financial advice. Trading involves risk, and users should perform their own due diligence before making any trading decisions.
Pine Script®指標
LongToken SMC: No-BE Edition + Pro Stats v3LongToken SMC: 3TP No-BE Edition + Pro Stats v3 is a high-end trading indicator built on the Smart Money Concept (SMC), focusing on market structure, liquidity, and the behavior of large money flows.
The indicator automatically identifies high-probability trading setups and clearly displays Entry – Stop Loss – 3 Take Profits, optimized for the No Break-Even (No-BE) strategy to avoid premature breakouts due to market noise.
Key Features
📌 Standard SMC Entry: Based on institutional price structure and cash flow
🎯 3 Fixed Take Profits: Targeting liquidity zones & price imbalances (IMB/FVG)
🛑 No Break-Even: Keeps orders logically in place, avoiding unnecessary stop-loss sweeps
⚖️ Optimal Risk Management: Reasonable R:R, enhancing long-term profit expectations
🔍 Clean and Easy-to-Read Interface: Focuses on Price Action, avoiding distractions
Suitable for
Price Action & SMC Traders
Traders who want clear order entry and disciplined order management
Traders who prioritize accuracy and consistency over placing many orders
Traders who follow structure – hold orders based on cash flow – profit is a consequence.
Pine Script®指標
Adaptive Moving AverageAdaptive Moving Average
The Adaptive Moving Average (AMA) dynamically adjusts to market conditions, selecting the most responsive behavior while filtering noise to provide clearer trend guidance.
🚀 Why It’s Unique
• Exclusive adaptive logic unique to this script
• High speed with reduced noise
• Strong performance on volatile assets such as SOLUSD and CROUSD
• Highly customizable moving average combinations
• Multi-layer processing for improved accuracy
• Color-changing plots and reversal highlights for quick interpretation
💡 Core Idea
The indicator blends multiple user-selected moving averages and dynamically emphasizes the one best suited to current market conditions. This preserves responsiveness during strong moves while filtering weak or noisy signals.
⚙️ How It Works
Three user-selected moving averages are calculated using the same base length.
A first adaptation layer weights the averages based on their rate of change responsiveness.
A second rate-of-change filter measures market conditions to suppress signals during unstable environments.
The final adaptive average changes behavior depending on market speed and direction.
The result is a moving average that reacts quickly during trends while remaining stable during choppy periods.
📌 Usage Notes
• Color changes indicate shifts in trend direction.
• Highlighted diamonds mark reversal events.
• Higher adaptation thresholds reduce signals but increase reliability.
• Lower thresholds increase responsiveness for faster trading styles.
🧭 Conclusion
The Adaptive Moving Average continuously adjusts its behavior to reduce false signals while maintaining speed and responsiveness. It offers a versatile tool for traders seeking clearer market structure and improved strategy execution.
Pine Script®指標
MACD Standard DeviationMACD Standard Deviation
The MACD Standard Deviation is a smoother, volatility-adjusted version of MACD designed to improve signal quality and reduce noise while preserving fast market responsiveness.
🚀 Benefits
• Strong performance on assets like BNBUSDT
• Faster entries with reduced signal noise
• Simple and efficient calculation method
• Improved trend clarity compared to classic MACD
💡 Core Idea
The objective is to create a cleaner MACD signal by measuring and adapting to its volatility. By accounting for dispersion, the indicator filters weak fluctuations and keeps meaningful momentum moves.
⚙️ How It Works
A standard MACD is calculated using selected moving averages.
Standard deviation of the MACD is computed over a chosen period.
Upper and lower dynamic levels are derived from MACD median and volatility.
These adaptive bands help filter false signals and better capture trend direction.
The result is a smoother, more stable MACD-based trend tool.
📌 Usage Notes
• Crosses around the zero line indicate potential trend shifts.
• Expanding band distance suggests rising momentum volatility.
• Contracting distance often signals consolidation phases.
• Histogram changes help visualize acceleration or weakening momentum.
Pine Script®指標
Volatility Smoothed Moving Average BandVolatility Smoothed Moving Average Bands
The Volatility Smoothed Moving Average Bands are volatility-based bands that combine multiple measurements to provide a robust and accurate view of market trend and direction.
🚀 Benefits
• Reduced noise through multi-source averaging
• Fast response to market changes
• Strong performance on volatile assets, especially altcoins (notably CROUSD)
💡 Core Idea
The goal is to generate accurate and robust signals by averaging multiple components without requiring additional historical data. The method extracts more information from the same data, improving stability and responsiveness simultaneously.
⚙️ How It Works
A fast and a slow moving average are calculated.
Multiple intermediate values are derived and averaged to build a highly stable center line.
Differences between all components are averaged to estimate volatility.
This volatility is added and subtracted from the center line to form dynamic upper and lower bands.
The result is adaptive bands that track market structure with high accuracy and reduced lag.
📌 Usage Notes
• Best suited for trend detection and dynamic support/resistance.
• Bands expanding → volatility increasing.
• Bands contracting → market compression or consolidation.
• Crosses above/below bands often signal strong directional shifts.
Enjoy and trade smart.
Pine Script®指標






















