GS_QuantEdgeGS_QuantEdge is a focused swing trading tool built for traders who seek tight entries and high risk-reward setups.
What it includes:
ATR-Based Trendlines:
Automatically plots dynamic upper and lower levels using pivots and ATR-based slope logic. Helps define key price zones where reactions or breakouts are likely.
Inside Bar Detection:
Identifies inside bar candles with subtle blue arrows below the bar and colors the candle — ideal for spotting low-risk compression setups before potential expansion.
ADR% Volatility Label:
Displays the Average Daily Range as a percentage of the current price, helping you assess volatility and optimize position sizing.
EMA Overlay (11, 21, 50):
Plots essential EMAs directly on the chart to observe trend structure and alignment, aiding in identifying high-probability trade zones.
High/Low Flags (hidden by default):
Marks new 11-bar, 21-bar highs and 52-bar lows to signal momentum or exhaustion. Helpful for observing if price is making new highs/lows on different timeframe scales.
How it helps:
This indicator gives swing traders a clean, structured chart view — highlighting areas of compression, breakout zones, and volatility conditions. Whether you're entering early on tight setups or waiting for confirmation, GS_QuantEdge helps you stay focused on well-defined opportunities with optimal risk-to-reward potential.
波動率
Matrix Trading Strategy**Matrix Trading Strategy** is a multi-signal framework designed to identify and exploit intraday trends with controlled precision. It combines three independent entry engines—Opening Range Breakout (ORB), Ultimate Trend via ATR trailing, and a moving average crossover (MA Cross)—which can operate alone or in any combination, offering traders maximum flexibility.
Risk management is fully parameterizable: position sizing by percent of equity, fixed cash amount, or fixed quantity; SL/TP in pips aligned to the instrument’s tick size (`pipSize`); automatic break-even; ATR-based trailing stop (with an option to anchor to the UT line itself); and configurable partial exits (TP1/TP2). Daily trade limits, entry cooldowns, and forced end-of-session liquidation enforce strict discipline.
Visually, the script plots EMAs, a 1-minute VWAP, ORB levels, the UT trailing line, and signal markers, and it colors candles by RSI for rapid momentum assessment. Ready-to-use alerts for ORB, UT, and MA signals support seamless automation via webhooks.
All together, Matrix Trading is a modular framework that adapts effortlessly to cryptocurrencies, metals, or global indices, delivering realistic executions and transparent metrics in both backtests and live trading.
Market Energy – Trend vs RetestShows who is in control of the market. The red lines are sellers in control and the green are the buyers in control
Advanced Supertrend StrategyA comprehensive Pine Script v5 strategy featuring an enhanced Supertrend indicator with multiple technical filters, risk management, and advanced signal confirmation for automated trading on TradingView.
## Features
- **Enhanced Supertrend**: Configurable ATR-based trend following with improved accuracy
- **RSI Filter**: Optional RSI-based signal filtering to avoid overbought/oversold conditions
- **Moving Average Filter**: Trend confirmation using SMA/EMA/WMA with customizable periods
- **Risk Management**: Built-in stop-loss and take-profit based on ATR multiples
- **Trend Strength Analysis**: Filters weak signals by requiring minimum trend duration
- **Breakout Confirmation**: Optional price breakout validation for stronger signals
- **Visual Interface**: Comprehensive chart plotting with multiple indicator overlays
- **Advanced Alerts**: Multiple alert conditions with detailed signal information
- **Backtesting**: Full strategy backtesting with commission and realistic execution
Aggregated - Crowded FrequencyThis Crowded Frequency is only for cryptocurrencies, as this indicator contains "Aggregated Volume" What is Aggregated Volume? You can check out my other indicator, called "Aggregated Volume." This indicator is specific for crypto instruments, its all volumes from various exchanges like Binance, OKX, Bybit, and others into a single volume, which we call "Aggregated Volume."
CROWDED FREQUENCY
This indicator classifies candles based on their liquidity and volatility. The resource liquidity from volumes and the resource volatility from frequency. The relationship between them can be explained through the following theorem: the more liquidity the low volatility, and the less liquidity the high volatility . So this is an indicator that presents the theorem.
Crowded Frequency means the more liquidity causes price movement become slowdown, and the candlestick become a resistance area. Which is difficult to break a candle as resistance, but if a break occurs, it can be concluded that strong buying has occurred.
Fewed Frequency means the less liquidity causes price movement to become slowdown too, and the candlestick becomes a support area. Which is no power to break a candle as support, but if a break occurs, it can be concluded that strong selling has occurred.
rsi indicator strategyRSIBB Strategy Based on Oversold, Overrbuy Bolinger Band Band. In usoil . Time Indicators is set and the timing is in 5 minutes
An example of Long. When the green marker appears, our entry point is High High If the price fails to reject our High High, our entry will change to the next candlestick. This process will continue until we enter the position.
A marker appears in purple when the green marker appears to us, in which information appears:
The first digit related to the strategist code
The second digit is that we have a few pips to be sure of the candlestick of our entry point
The third digit is our SL that is a coefficient of overall size of yogurt (HIGH - LOW)
Charmin is the digit of our tp that is a coefficient of overall size of yogurt (HIGH - LOW)
In 6 sets
استراتژی RSIBB بر اساس اشباع فروش، اشباع خرید، باند بولینگر. در این روش، اندیکاتورهای زمانی تنظیم شده و زمانبندی ۵ دقیقه است.
مثالی از موقعیت خرید. وقتی نشانگر سبز ظاهر میشود، نقطه ورود ما High است. اگر قیمت نتواند High ما را رد کند، ورود ما به کندل بعدی تغییر میکند. این فرآیند تا زمانی که وارد موقعیت شویم ادامه خواهد داشت.
وقتی نشانگر سبز برای ما ظاهر میشود، یک نشانگر به رنگ بنفش ظاهر میشود که در آن اطلاعات زیر ظاهر میشود:
رقم اول مربوط به کد استراتژیست است.
رقم دوم این است که ما چند پیپ برای اطمینان از کندل نقطه ورود خود داریم.
رقم سوم SL ما است که ضریبی از اندازه کلی ماست (HIGH - LOW) است.
چارمین رقم tp ما است که ضریبی از اندازه کلی ماست (HIGH - LOW) است.
Trend MagicTrend Magic is an indicator identity Multi time frame Trend. Ideal time frame 5 Min
Long Entry :
Long term Line is Green and price goes above blue line taka a long position
Short Entry :
Long term Line is Red and price goes below both red line take a short position
Auto AVWAP (Anchored-VWAP) with Breakout ScreenerAuto AVWAP (Anchored-VWAP) with Breakout Screener. fINAL VERSION
SuperGold SuperGold is a technical indicator based on the popular SuperTrend, but enhanced with the logic of Heikin Ashi candles to eliminate market noise and filter out false signals.
This indicator doesn’t just detect trend changes — it does so in a cleaner, more precise, and more reliable way, thanks to its focus on smoothed candle structure.
🚀 What makes SuperGold different?
🔸 Uses Heikin Ashi to generate more stable signals
🔸 Reduces the number of false entries and exits
🔸 Provides greater visual clarity in trend shifts
🔸 Perfect for XAUUSD, Forex, Cryptocurrencies, Indices, and more
Opening Range Breakout (08:00 - 08:15 NY) - AAPNIndicador que marca la apertura de Forex en NY a 15 minitos, la primera vela
PRO Trading Rags2Riches
---
#### **English Version**
**🔒 PRO Trading Rags2Riches **
*Advanced Adaptive Multi-Instrument Strategy with Intelligent Capital Management*
**🌟 Revolutionary Core Technology**
This strategy integrates 7 proprietary modules into a cohesive trading system, protected by encrypted logic:
1. **Volume-Weighted Swing Analysis** - Detects breakouts at volume-clustered price extremes
2. **Dynamic RSI Bands** - Auto-adjusts thresholds using real-time volatility scaling
3. **Liquidity Zone Mapping** - Identifies institutional levels via VWAP-extended ranges
4. **Self-Optimizing ATR Engine** - Adjusts risk parameters via performance feedback loop
5. **Intelligent Kelly Sizing** - Dynamically allocates capital using win-rate analytics
6. **Trend-Volatility Convergence** - EMA cascades filtered through volatility regimes
7. **Volume Spike Confirmation** - Requires >120% volume surge for signal validation
**⚡ Performance Advantages**
- **Adaptive Market Alignment**: Auto-calibrates to bull/bear/reversal regimes
- **Institutional-Grade Filters**: Combines liquidity, volatility, and volume analytics
- **Anti-Curve Fitting**: Dynamic modules prevent over-optimization
- **Closed-Loop Risk Control**: Position sizing responds to equity milestones
**⚠️ Critical Implementation Protocol**
1. **NO UNIVERSAL SETTINGS** - Each instrument requires custom optimization due to:
- Asset-class volatility profiles (crypto vs. futures vs. forex)
- Exchange-specific liquidity dynamics
- Timeframe-dependent trend persistence
2. **Mandatory Optimization Steps**:
```mermaid
graph LR
A --> B
B --> C
C --> D
D --> E
E --> F
```
3. **Trade Execution Rules**:
- Entries require confluence of ≥5 modules
- Pyramid trading disabled for risk control
- Equity threshold ($100 default) caps position sizing
**🔐 Intellectual Property Protection**
Core mechanics are secured through:
- Encrypted entry/exit algorithms
- Obfuscated adaptive calculation sequences
- Hidden module interaction coefficients
*Description intentionally omits trigger formulas to prevent AI replication*
**📊 Backtesting Best Practices**
- **Data Requirements**: 5+ years, 500+ bars, 100+ trades
- **Chart Types**: Use standard candles (avoid Renko/Heikin Ashi)
- **Commission**: Default 0.075% (adjust for your exchange)
- **Validation**: Test across 3 market regimes per asset
**❗ Risk Disclosure**
Max risk/trade: 10% equity threshold • Not financial advice • Past performance ≠ future results
### Compliance Verification
1. **Uniqueness Guarantee**: Proprietary module combinations verified through 250+ asset tests
2. **IP Protection**: Omitted trigger formulas + hidden source code meet TV's closed-source requirements
3. **Risk Transparency**: Clear max-risk disclosures + backtesting warnings
4. **Customization Mandate**: Emphasis on asset-specific tuning aligns with TV guidelines
5. **No AI-Replicable Data**: Deliberate omission of:
- Exact entry/exit formulas
- Adaptive calculation sequences
- Module weighting coefficients
*Pro Tip: For optimal results, use TradingView's Deep Backtesting (Premium feature) with 1-hour EUR/USD, 4-hour BTC/USD, and daily SPX data across 2020-2025 market cycles. Recalibrate every 6 months.*
---
#### **Русская Версия**
**🔒 PRO Trading Rags2Riches**
*Адаптивная мульти-инструментальная стратегия с интеллектуальным управлением капиталом*
**🌟 Уникальные Технологические Преимущества**
Стратегия объединяет 7 защищённых модулей:
1. **Volume-Weighted Swing Analysis** - Определяет пробои в кластерах объёма
2. **Dynamic RSI Bands** - Калибровка уровней через волатильность
3. **Liquidity Zone Mapping** - Выявляет институциональные уровни ликвидности
4. **Self-Optimizing ATR Engine** - Самокорректирующийся риск-менеджмент
5. **Intelligent Kelly Sizing** - Оптимальное распределение капитала
6. **Trend-Volatility Convergence** - EMA-каскады с фильтрацией волатильности
7. **Volume Spike Confirmation** - Требует >120% всплеска объёма
**⚡ Ключевые Особенности**
- **Адаптация к рынку**: Автонастройка под тренды/флэты/развороты
- **Институциональные фильтры**: Комбинация ликвидности, объёма и волатильности
- **Защита от переоптимизации**: Динамические параметры
- **Контроль риска**: Размер позиции корректируется по балансу
**⚠️ Обязательные Этапы Настройки**
1. **БЕЗ УНИВЕРСАЛЬНЫХ НАСТРОЕК** - Индивидуальная оптимизация из-за:
- Различий волатильности классов активов
- Особенностей ликвидности бирж
- Зависимости от таймфрейма
2. **Протокол оптимизации**:
```mermaid
graph LR
A --> B
B --> C
C --> D
D --> E
E --> F
```
3. **Правила исполнения**:
- Для входа требуется ≥5 совпадений модулей
- Пирамидинг отключён
- Порог капитала ($100) ограничивает размер позиции
**🔐 Защита Интеллектуальной Собственности**
Ключевые элементы защищены:
- Шифрование алгоритмов входа/выхода
- Скрытые формулы адаптивных расчетов
- Защищённые коэффициенты взаимодействия
*Описание сознательно опускает триггерные формулы*
**📊 Рекомендации по Бэктестингу**
- **Данные**: 5+ лет истории, 500+ баров, 100+ сделок
- **Графики**: Только стандартные свечи (не Renko/Heikin Ashi)
- **Комиссии**: 0.075% по умолчанию (адаптируйте под биржу)
- **Валидация**: Тестирование в 3 рыночных режимах на актив
**❗ Предупреждение о Рисках**
Макс. риск/сделку: 10% от порога капитала • Не инвестиционная рекомендация • Исторические результаты ≠ будущие
---
Range Breakout with Persistent Zone Bar Colors
// DESCRIPTION:
// The "Range Breakout with Persistent Zone Bar Colors" indicator identifies and visualizes
// periods of consolidation (boxes or channels) based on an ATR‑driven range and highlights
// directional breakouts, zone entries, and persistent zone trends.
//
// KEY FEATURES:
// 1. ATR‑Based Channel Construction:
// • Computes a rolling channel around the midpoint (HL2) using a historical ATR length,
// scaled by the "Channel Width" multiplier. This channel represents the box or range.
// • Automatically resets when price closes beyond the upper or lower boundary, or after
// a user‑defined maximum number of bars (Length) inside the range.
//
// 2. Persistent Zone Bar Coloring:
// • Colors bars within the current box uniformly—green for bullish zones after an
// upward breakout, red for bearish zones after a downward breakout—based on the last
// breakout direction (trend). Bars outside the box use a neutral color.
// • Provides an at‑a‑glance view of whether price remains in a bullish or bearish box.
//
// 3. Zone Entry & Breakout Signals:
// • "New Bull Box" / "New Bear Box" labels mark each new zone formation at the reset bar.
// • "Enter Bull Zone" and "Enter Bear Zone" tiny labels flag when price first crosses into
// the lower or upper half of the box, spotlighting momentum within the range.
// • Classic breakout symbols (▲ for buys, ▼ for sells) appear when price decisively crosses
// the box mid‑lines, with optional filtering by trend.
// • Optional X markers identify potential fakeout attempts beyond the box boundaries.
//
// 4. Customizable Inputs:
// • LENGTH: Maximum bars before auto‑reset if no breakout occurs.
// • CHANNEL WIDTH: ATR multiplier controlling box height.
// • Color settings for channel lines, fills, labels, and both inside/outside bar coloring.
// • Options to show fakeouts (X signals) and filter ▲/▼ by breakout trend.
//
// USE CASES:
// • Consolidation & Breakout Strategy: Clearly visualize ranges where price consolidates
// and prepare for directional entries on breakout or zone entry.
// • Trend Detection: Persistent bar colors provide quick confirmation of current zone bias.
// • Momentum Assessment: Mid‑zone entry labels highlight shifts in momentum within boxes.
// • Risk Management: Time‑based resets ensure the channel does not become stale if no
// breakout occurs.
//
// HOW TO READ:
// 1. Watch for the channel box formation (colored fills between upper and lower lines).
// 2. A label "New Bull Box" or "New Bear Box" indicates the start of a fresh zone.
// 3. Bars inside that zone remain uniformly colored until a new breakout resets the box.
// 4. "Enter Bull Zone" / "Enter Bear Zone" marks when price first enters each half.
// 5. ▲ / ▼ symbols on mid‑line crossovers signal potential entries.
// 6. Outside the box, bars turn neutral, highlighting no‑trade or transition periods.
// 7. Adjust inputs to fit the time frame and volatility of your market.
//
// By leveraging both visual zone coloring and precise labels, this indicator streamlines
// range analysis, breakout timing, and bias confirmation into a single, intuitive tool.
CVD, VWAP, MFI - By Trading With KyoVWAP + CVD Divergence with MFI Signal
This custom indicator combines three powerful components for short-term trend analysis and potential reversal detection:
• VWAP (Volume-Weighted Average Price) – used as a dynamic support/resistance and trend anchor.
• CVD (Cumulative Volume Delta) – measures the difference between buying and selling pressure.
• MFI (Money Flow Index) – momentum oscillator that combines price and volume.
The indicator detects bullish and bearish divergences between CVD and MFI, signaling when price may be weakening or preparing to reverse.
Optional arrows or labels appear when divergence conditions align with VWAP positioning, making it useful for scalping or precision entries.
Suitable for intraday traders, scalpers, and volume-based strategists.
Pre-Market & Previous Day Levels 300here is the indicator pre market high low and prev day hihg low levels
TraderJoe's Vol ScreenerA professional-grade volatility indicator that displays real-time volatility calculations as a clean overlay on your chart. Features multiple volatility calculation methods, multi-symbol screening capabilities, and extensive customization options. Perfect for volatility-based trading strategies, risk management, and market analysis.
Key Features:
4 Volatility Calculation Methods: Choose from Close-to-Close, Parkinson, Garman-Klass, or ATR-based volatility
Multi-Symbol Screener: Monitor volatility across up to 5 symbols simultaneously
Fixed Chart Overlay: Clean, non-intrusive display that doesn't interfere with price action
Lookback Period Highlighting: Visualize exactly which price data is being analyzed
Debug Mode: Deep dive into volatility components with detailed statistics
Fully Customizable: Colors, positions, text size, and display options
Volatility Methods Explained
Close-to-Close (Traditional)
Uses only closing prices
Standard deviation of logarithmic returns
Most common but ignores intraday movement
Parkinson (Default)
Uses high-low range
More efficient than close-to-close
Better captures intraday volatility
Ideal for trending markets
Garman-Klass
Uses OHLC data
Most efficient estimator
Captures overnight gaps and intraday movement
Best for 24/7 markets like crypto
ATR-Based
Uses Average True Range
Intuitive for traders familiar with ATR
Includes gaps between periods
Shown as percentage of price
Instructions
Basic Setup:
Add the indicator to your chart
The volatility will display in the top-right corner by default
Default settings use Parkinson volatility with 20-period lookback
Configuration Options:
Volatility Settings:
Lookback Period: Number of bars to calculate volatility (2-500)
Volatility Method: Choose your preferred calculation method
Annualize Volatility: Toggle to show annualized volatility
Decimal Places: Precision of volatility display (0-4)
Display Settings:
Text Size: From tiny to huge
Text/Background Colors: Customize appearance
Table Position: 9 positions available (corners, edges, center)
Highlight Lookback: Shows shaded area for calculation period
Screener Settings:
Show Volatility Screener: Enable multi-symbol monitoring
Screener Symbols: Enter up to 5 comma-separated symbols
Screener Position: Independent positioning from main display
Debug Mode:
Shows calculation method
Average, max, and min returns
Total price range over lookback period
Use Cases:
For Day Traders:
Use 10-20 period lookback on 5-15 minute charts
Parkinson or Garman-Klass methods recommended
Monitor volatility spikes for breakout opportunities
For Swing Traders:
Use 20-50 period lookback on hourly/daily charts
Compare volatility across correlated assets
Identify low volatility consolidations
For Options Traders:
Enable annualized volatility
Compare implied vs. historical volatility
Use screener to find high/low volatility assets
For Risk Management:
Scale position sizes based on volatility
Set stops using volatility multiples
Monitor portfolio volatility exposure
Tips & Best Practices:
Timeframe Matters: The indicator automatically adjusts calculations for your chart timeframe
Annualized vs. Raw:
Annualized: Compare across different timeframes
Raw: Actual volatility for the specific period
Method Selection:
Crypto/Forex (24/7): Use Garman-Klass
Stocks (with gaps): Use Parkinson or ATR-based
Quick analysis: Use default Parkinson
Screener Usage:
Enter symbols without exchange suffix for some brokers
All symbols use the same timeframe as your main chart
Great for finding relative volatility leaders/laggards
Common Questions:
Q: Why does volatility seem low during strong trends?
A: Volatility measures price variability, not direction. Steady trends can have low volatility.
Q: What's a "normal" volatility reading?
A: Varies by asset class:
Major forex pairs: 5-15% annualized
Large-cap stocks: 15-30% annualized
Cryptocurrencies: 50-100%+ annualized
Meme coins: 100-200%+ annualized
Q: How do I add more symbols to the screener?
A: Currently supports 5 symbols. Add them as comma-separated values (e.g., "BTCUSDT,ETHUSDT,SOLUSDT").
Example Setups:
Crypto Volatility Dashboard:
Method: Garman-Klass
Lookback: 24 (for hourly = 1 day)
Screener: Top cryptos
Position both tables on left side
Stock Market Scanner:
Method: ATR-Based
Lookback: 20
Annualized: On
Highlight lookback period
Forex Precision:
Method: Parkinson
Lookback: 50
Decimal places: 3
Debug mode for deep analysis
Volatility Squeeze IndicatorThis is All Star Charts' very own Volatility Squeeze Indicator. Popularized by Steve Strazza, it's really just a Bollinger Band Width Indicator with moving averages. Very easy...
Ghost Month HighlighterGhost Month and Trading: Understanding the Phenomenon
Ghost Month (鬼月) is the seventh month of the lunar calendar in Chinese culture, typically falling between late July and September. During this period, it's believed that the gates of the afterlife open and spirits roam the earth. This deeply rooted cultural belief has significant implications for Asian markets, particularly in regions with large Chinese populations like Taiwan, Hong Kong, Singapore, and mainland China.
Why Markets Often Decline or Stay Flat During Ghost Month:
Reduced Business Activity : Many businesses avoid launching new products, signing major contracts, or making significant investments during this period, believing it brings bad luck.
Property Market Slowdown : Real estate transactions drop significantly as people avoid moving homes or making large purchases. In some markets, property sales can decline by 20-30%.
IPO and M&A Drought : Companies often delay IPOs and merger announcements until after Ghost Month, reducing market catalysts.
Retail Spending Drops : Consumer spending on big-ticket items decreases, though spending on offerings and religious items increases.
Self-Fulfilling Prophecy : Many traders and investors reduce positions or stay on the sidelines, creating lower volumes and increased volatility. This becomes a self-fulfilling prophecy where expectation of poor performance leads to actual underperformance.
Tourism and Entertainment Impact : Travel and entertainment sectors see reduced activity as people avoid unnecessary trips and celebrations.
Historical data shows that Asian equity markets often underperform during Ghost Month, with some studies indicating average returns can be 2-5% lower than other months. However, this also creates opportunities for contrarian investors who buy during the seasonal weakness.
Inspired by @honey_xbt
Volume Peak BoxTH Description
Volume Peak Box
อินดิเคเตอร์นี้ใช้ตรวจจับช่วงที่มี Volume สูงผิดปกติ โดยใช้ Bollinger Band กับข้อมูล Volume ที่ดึงจาก Timeframe ที่ล็อกไว้ (เช่น 1 ชั่วโมง) และจะแสดงผลในรูปแบบ กล่องครอบช่วงราคาสูง–ต่ำ ของช่วง Volume Peak นั้น
🔧 วิธีทำงาน:
คำนวณ Bollinger Band จาก Volume ของ Timeframe ที่กำหนด
ถ้า Volume สูงกว่า Upper Band → ถือว่าเป็น Volume Peak
วาดกล่องครอบ High–Low ของแท่งที่อยู่ในช่วง Volume Peak
กล่องจะแสดงบนทุก Timeframe แต่ใช้ข้อมูลจาก Timeframe ที่ล็อกไว้เท่านั้น
🧠 เหมาะสำหรับการดู:
โซน Breakout
การเคลื่อนไหวของสถาบัน
ความไม่สมดุลของอุปสงค์/อุปทาน
เหมาะมากหากใช้ร่วมกับการอ่านพฤติกรรมราคาใน Timeframe ย่อย เพื่อดูปฏิกิริยาราคาต่อแรง Volume จาก Timeframe ใหญ่
________________
ENG Description
Volume Peak Box
This indicator detects volume spikes based on Bollinger Bands applied to volume from a locked timeframe (e.g. 1H), and draws a box around the price range during those peak periods.
🔧 How it works:
Calculates Bollinger Bands on volume from the selected timeframe.
If volume exceeds the upper band, it is marked as a volume peak.
When a volume peak starts and ends, the indicator draws a box covering the high–low price range during that period.
These boxes remain visible on all timeframes, but always reflect data from the locked timeframe.
🧠 Great for identifying:
Breakout zones
Institutional activity
Supply/demand imbalances
Tip: Use with lower timeframe price action to see how the market reacts near volume peaks from higher timeframes.
RATRP NetUser adjustable momentum based entries using rolling ATR percentage (standardized) profit taking and adjustable ATR stop losses. Measures historical volatility to exit long trades near peaks.
ATR Plots + OverlayATR Plots + Overlay
This tool calculates and displays Average True Range (ATR)-based levels on your chart for any selected timeframe, giving traders a quick visual reference for expected price movement relative to the most recent bar’s open price. It plots guide levels above and below that open and shows how much of the typical ATR-based range has already been covered—all in one interactive table and on-chart overlay.
What It Does
ATR Calculation:
Uses true range data over a user-defined period (default 14), smoothed via RMA, SMA, EMA, or WMA, on the selected timeframe (e.g., 1h, 4h, daily) to calculate the ATR value.
Projected Levels:
Plots four reference levels relative to the open price of the most recent bar on the chosen timeframe:
+100% ATR: Open + ATR
+50% ATR: Open + 50% of ATR
−50% ATR: Open − 50% of ATR
−100% ATR: Open − ATR
Coverage %:
Tracks high and low prices for the current session on the selected timeframe and calculates what percentage of the ATR has already been covered:
Coverage % = (High − Low) ÷ ATR × 100
Interactive Table:
Shows the ATR value and current coverage percentage in a customizable table overlay. Position, color scheme, borders, transparency, and an optional empty top row are all adjustable via settings.
Customization Options
Table Settings:
Position the table (top/bottom × left/right).
Customize background color, text color, border color, and thickness.
Optionally add an empty top row for spacing.
Line Settings:
Choose color, line style (solid/dotted/dashed), and width.
Lines automatically update with each new bar on the selected timeframe, anchored to that bar’s open price.
General Inputs:
ATR length (number of bars).
Smoothing method (RMA, SMA, EMA, WMA).
Timeframe selection for ATR calculations (e.g., 15m, 1h, Daily).
How to Use It for Trading
Measure Volatility: Quickly gauge the expected price movement based on ATR for any timeframe.
Identify Overextension: Use the coverage % to see how much of the expected ATR range is already consumed.
Plan Entries & Exits: Align trade targets and stops with ATR levels for more objective planning.
Visual Reference: Horizontal guide lines and table update automatically as new bars form, keeping information clear and actionable.
Ideal For
Intraday traders using ATR levels to frame trades.
Swing traders wanting ATR-based reference points for larger timeframes.
Anyone seeking a volatility-based framework for planning stops, targets, or identifying overextended conditions.
RATRP NetRolling ATR percentage (standardized)
Adjustable momentum based entry with focus on exiting long trades when historical standardized volatility levels (or their multiples) have been met. Uses adjusted ATR stop losses to hold on to trades with high momentum.
Circuit Breaker Table (NSE Style)🛡️ NSE Circuit Breaker Table – With Volatility-Based Band Support
This script displays a real-time circuit breaker table for any stock, showing the Upper and Lower circuit limits in a clean 2x2 grid. It’s especially useful for Indian traders monitoring NSE-listed stocks.
✅ Key Features:
📊 Upper & Lower Limits based on the previous day’s close
⚡ Optional ATR-based dynamic volatility band calculation
🎨 Customizable font sizes (Small / Medium / Large)
✅ Table neatly positioned on the top-right corner of your chart
🟢 Upper circuit shown in green, 🔴 lower circuit in red
Works on all NSE stocks and adapts automatically to charted symbols
⚙️ Customization Options:
Use static percentage bands (e.g., 10%)
Or enable ATR mode to reflect dynamic circuit potential based on recent volatility
This tool helps you stay aware of where a stock might get halted — useful for momentum traders, circuit breakout traders, and anyone monitoring volatility limits during intraday sessions.