SMC Pro: Real-Time Final**Description:**
This comprehensive SMC indicator is designed to automatically visualize major **Trading Sessions** and **Killzones**, alongside Fair Value Gaps (FVG). It helps traders identify high-probability setups by correlating time and price, specifically during key market hours (London, New York, Asia).
**Key Features:**
1. **Trading Sessions & Killzones:** The indicator clearly highlights the open and duration of major sessions (Asia, London, New York), allowing traders to spot volatility injections and "Judas Swings."
2. **Automated FVG Detection:** Scans price action to locate valid Fair Value Gaps and Imbalances within these sessions.
3. **Entry Logic:** Marks potential entry zones at the 50% retracement level of the identified FVG.
4. **Risk Management:** Projects a fixed Risk-to-Reward ratio (e.g., 1:3) with automatic Stop Loss and Take Profit levels.
5. **Clean Visualization:** Color-coded boxes for sessions and gaps keep the chart organized.
**How to Use:**
* **Time Analysis:** Watch for price action as the London or NY session opens (highlighted by the indicator).
* **Signal:** Wait for an Imbalance/FVG to form during these high-volume times.
* **Entry:** Set a limit order at the 50% mark of the gap.
* **Exit:** Use the projected TP levels.
**Disclaimer:**
This tool is for educational purposes and technical analysis assistance only. Past performance does not guarantee future results.
经济周期
OHLC ProjectionsOHLC Projections is an advanced analytical tool designed to forecast potential price ranges for the current session (Daily or Weekly) based on historical data. The indicator utilizes a statistical analysis of price behavior relative to the Open, calculating average values for "Manipulation" (movement against the closing direction) and "Distribution" (the main expansion in the closing direction).
Unlike standard moving averages, this tool creates a "roadmap" for the developing candle, helping traders identify potential session highs and lows before they form.
How It Works
The algorithm analyzes a user-defined lookback period (e.g., 60 candles) and calculates:
Manipulation (M): The average length of the wick formed opposite to the candle's closing direction (e.g., the bottom wick of a bullish candle).
Distribution (D): The average distance from the Open to the extreme point in the direction of the close.
Based on these metrics, the following levels are projected:
Open Line: The opening price of the period (Always Solid).
Manipulation Levels (+M / -M): The statistical range where price often "traps" traders before the true move begins. These are often ideal reversal points (Smart Money Reversal).
Distribution Levels (+D / -D): The statistical target (Take Profit) that price tends to reach after the manipulation phase is complete.
Key Features
Anchored Levels (Non-Repainting): Levels are calculated once at the start of a new session (e.g., at Midnight) and remain fixed throughout the day. They do not "float" or repaint with current price action.
History Management: A unique "Limit history to current day" feature keeps your chart clean. When enabled, the indicator automatically removes lines from previous days, leaving only the projections relevant to the current active session.
NY Midnight Support: Option to anchor daily calculations specifically to the New York Midnight Open (essential for ICT/SMC traders).
Dual Timeframe: Ability to display projections for two timeframes simultaneously (e.g., Daily and Weekly) on lower timeframe charts.
"Areas" Mode: Option to display zones (Boxes) instead of lines, based on two different lookback periods (short and long), allowing for the visualization of statistical confluence.
Premium/Discount Zones: Optional shading of zones above and below the opening price to easily identify expensive (Premium) and cheap (Discount) price areas.
Configuration & Visuals
The indicator is fully customizable:
Lookback Period: Adjust the number of historical candles used for the average calculation.
Visual Style: Full control over line colors and styles. The Open Line is always forced to Solid for easy distinction, while other levels can be set to dotted or dashed.
Statistics Table: An optional dashboard displaying the specific price values for all calculated levels.
Strategy Application
This tool is highly effective for Smart Money Concepts (SMC) and Inner Circle Trader (ICT) strategies.
Look for Short opportunities when price extends above the Open and hits the -M or +D levels.
Look for Long opportunities when price drops below the Open and tests the +M or -D levels.
Alerts
Built-in alerts allow you to be notified immediately when price crosses key Manipulation or Distribution levels, ensuring you never miss a reaction point.
specific breakout FiFTOStrategy Description: 10:14 Breakout Only
Overview This is a time-based intraday trading strategy designed to capture momentum bursts that occur specifically after the 10:14 AM candle closes. It operates on the logic that if price breaks the high of this specific candle within a short window, a trend continuation is likely.
Core Logic & Rules
The Setup Candle (10:14 AM)
The strategy waits specifically for the minute candle at 10:14 to complete.
Once this candle closes, the strategy records its High price.
Defining the Entry Level
It calculates a trigger price by taking the 10:14 High and adding a user-defined Buffer (e.g., +1 point).
Formula: Entry Level = 10:14 High + Buffer
The "Active Window" (Expiry)
The trade setup does not remain open all day. It has a strict time limit.
By default, the setup is valid from 10:15 to 10:20.
If the price does not break the Entry Level by the expiry time (default 10:20), the setup is cancelled and no trade is taken for the day.
Entry Trigger
If a candle closes above the Entry Level while the window is open, a Long (Buy) position is opened immediately.
Exits (Risk Management)
Stop Loss: A fixed number of points below the entry price.
Target: A fixed number of points above the entry price.
Visual & Automation Features
Visual Boxes: Upon entry, the strategy draws a "Long Position" style visual on the chart. A green box highlights the profit zone, and a red box highlights the loss zone. These boxes extend automatically until the trade closes.
JSON Alerts: The strategy is pre-configured to send data-rich alerts for automation (e.g., Telegram bots).
Entry Alert: Includes Symbol, Entry Price, SL, and TP.
Exit Alerts: Specific messages for "Target Hit" or "SL Hit".
Summary of User Inputs
Entry Buffer: Extra points added to the high to filter false breaks.
Fixed Stop Loss: Risk per trade in points.
Fixed Target: Reward per trade in points.
Expiry Minute: The minute (10:xx) at which the setup becomes invalid if not triggered.
Global Session MarkerA pinescript-coded indicator intended for TradingView that indicates US/EU/AS sessions, namely 16:00 closes for American equity and how that can impact cryptocurrency ETFs that are designed to deliver a multiple of the daily performance of their underlying benchmark.
Paradox CyclesParadox Cycles is a comprehensive market timing indicator that helps traders visualize key trading time-cycles throughout the trading day. Designed for intraday trading on timeframe 15 minutes and below.
Gold Seasonal Long-Term StrategyBased on the rigid cycle of physical gold demand.
It capitalizes on the strong buying momentum driven by India's Diwali in November, the Western holiday season in December, and the Chinese New Year in January/February to execute a long-term hold.
VIX/VXV Ratio (TitsNany)This script plots the VXV/VIX ratio, which compares medium-term volatility (90-day fear) to short-term volatility (30-day fear). When the ratio rises above key levels like 1.16 or 1.24, it signals that traders expect future stress, often preceding market pullbacks. When the ratio falls toward or below 1.0, short-term fear is spiking, which typically occurs during active selloffs or volatility events. In short, elevated readings warn of potential market drops ahead, while sharp declines in the ratio reflect panic already hitting the market.
Enhanced WMA Cross AlertAn alert for when the 10 period WMA crosses over the 21 period WMA complete with Alerts
BörsenampelThe “VIX/VVIX Traffic Light (Panel)” visualizes the current market risk as a simple traffic light (green / yellow / red) in the top‑right corner of the chart, based on the VIX and VVIX indices.
How it works
The script loads the VIX and VVIX indices via request.security and evaluates them using user‑defined threshold levels.
Green: VIX and VVIX are below their “green” thresholds, indicating a calm market environment and more risk‑on conditions.
Red: VIX and VVIX are above their “red” thresholds, signalling stress or panic phases with elevated risk.
Yellow: Transitional zone between the two extremes.
Chart display
A small panel with the title “Traffic Light” is shown in the upper‑right corner of the chart.
The central box displays the current status (“GREEN”, “YELLOW”, “RED”) with a matching background color.
Optionally, the current VIX and VVIX values are shown below the status.
Inputs and usage
Symbols for VIX and VVIX can be freely chosen (default: CBOE:VIX and CBOE:VVIX).
The green/red thresholds can be adjusted to fit personal volatility rules or different markets.
EdgeX by YCGH Capital╔════════════════════════════════════════════════════════════╗
⚡ SYSTEMATIC BTCUSDT SWING TRADER ⚡
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📊 STRATEGY OVERVIEW
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║ 🔐 PREMIUM STRATEGY - EXCLUSIVE ACCESS 🔐 ║
╚════════════════════════════════════════════════════════════╝
This is a premium strategy with exclusive access.
To request access, reach out at:
📬 brijamohanjha@gmail.com
• Vetted performance data available upon request
• Setup assistance and strategy tuning included
• Ongoing support for live trading optimization
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A dynamic, rule-based trading framework designed for BTCUSDT on
the 4-hour chart, focused on capturing clear directional edges
with disciplined risk management and fully automated execution.
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🎯 KEY CHARACTERISTICS
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✓ Long & Short | Bidirectional participation in both trending
directions without discretionary overrides
✓ Structured Rules | Entries triggered only on high-conviction
setups; naturally quiet during choppy consolidations
✓ Adaptive Sizing | Position size scales dynamically with account
equity using percentage-based capital allocation
✓ Cost-Aware | Transaction fees and slippage explicitly modeled
for realistic live trading performance
✓ Automated Execution | Bar-level real-time processing ensures
consistent, emotion-free trade management
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💰 RISK & CAPITAL MANAGEMENT
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• Fixed-fraction position sizing for compounding growth
• Predefined stop-loss and take-profit constraints
• Account equity-based position scaling
• Realistic fee structure incorporated into P&L
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🚀 IDEAL FOR
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→ Medium-term swing participation
→ Backtesting and strategy robustness analysis
→ Quantitative trading systems development
→ Systematic, rules-based execution
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Built for disciplined, consistent execution
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FX Global Strength — Interpretation & Trading FrameworkFX Global Currency Strength — Interpretation & Trading Framework
Enhance your market reading with real-time global strength lines for all major currencies.
Use this tool to confirm breakout validity, detect early divergences, and understand money flow dynamics across FX pairs.
Tip: I strongly recommend backtesting each technique on your preferred market conditions.
COMPONENTS
• Global Strength Lines
Show the relative performance of each major currency calculated across all their pairs.
You can apply the indicator on any timeframe — M1 to Monthly — and the strength is recalculated based on the selected period.
• Strength Difference (Base vs Quote)
Automatically computes which currency is stronger on the chart pair you are trading.
• Interactive Legend
Clear color-coded layout to instantly recognize each currency’s strength line.
HOW TO READ & INTERPRET
1. Global Currency Strength Lines
Higher line = stronger currency, gaining value across the market.
Lower line = weaker currency, losing value across pairs.
Quickly identify which currencies are being bought or sold globally.
Avoid low-quality setups: when both currencies of a pair are equally strong or equally weak, price tends to range or give false signals.
2. Risk-On / Risk-Off Context
Strength clustering reveals market sentiment:
Risk-On: high-beta currencies (AUD, NZD, GBP) strengthening together while safe havens (JPY, CHF) weaken.
Risk-Off: JPY/CHF strengthening while AUD/NZD/GBP weaken.
This helps confirm trend reliability and reduces the chance of trading against global flows.
3. Breakout Confirmation Using Strength
Before trading a breakout on your chart:
Check if the base currency is rising and the quote currency is dropping.
A breakout is more valid when price action + global strength move in the same direction.
If the chart breaks out but strength lines do not confirm the move, consider it a high probability of a false breakout.
4. Divergence Detection
Global strength lines provide early warnings:
If price makes new highs but base currency strength does not, momentum is fading.
If price makes new lows but quote currency weakens slower, a reversal may form.
This acts like an advanced RSI-style divergence, but measured across the entire FX market, not just one pair.
5. Money Flow Insight
Because the indicator aggregates data across all major pairs:
You can clearly see where capital is flowing across the FX market.
This helps you choose the best pairs to trade, not just the direction.
Example:
If USD is the strongest and JPY is the weakest → USDJPY typically offers strong, clean directional movement.
SUMMARY — Why This Indicator Helps
✓ Confirms your breakout trades
✓ Avoids weak or noisy chart conditions
✓ Catches early divergence before price reverses
✓ Shows market sentiment (risk-on / risk-off)
✓ Helps select the cleanest, most directional currency pairs
✓ Works on any timeframe, adapting to your trading style (scalping, swing, or position trading)
Indian Scalper 2025 – PSAR + SMA50 + RSI≤50 + High Volume (75%)Best 1-min / 2-min scalping strategy for NIFTY, BANKNIFTY, FINNIFTY & liquid stocks in 2025
✓ PSAR flip + SMA-50 trend filter
✓ RSI ≤50 (avoids chasing)
✓ Only high-volume candles (bright colour)
✓ Loud mobile alerts with price & SL
✓ 1:2+ RR with PSAR trailing
Works like magic 9:15–11:30 AM and 2–3:20 PM
Made with love for the Indian trading community ♥
Multi Time Frame High/Low LevelsThe indicator displays the High and Low levels of different timeframes independently of the chart’s timeframe. The levels labeled as “Live,” shown with dashed lines, represent the real-time High and Low of the currently active timeframe. When the timeframe closes and a new one begins, the dashed lines turn into solid lines. For each timeframe, up to 10 historical levels are displayed.
The High and Low levels of the current (dashed-line) timeframe move automatically on the chart as they change in real time. The main purpose of the indicator is to make the levels of different timeframes visible while analyzing a chart in a specific timeframe
🟡 GOLD 4H HUD v8.9 — Loose ICT OB + Strong/Weak + FVG/HVN/LVNGOLD 4H HUD v8.9 is a clean, structured Smart Money Concepts (SMC)–based analysis tool designed exclusively for XAUUSD on the 4-hour timeframe.
It focuses on the three most important elements for institutional orderflow analysis:
✔ Loose ICT Order Blocks (Demand/Supply)
✔ Fair Value Gaps (FVG)
✔ Volume Profile Zones (HVN/LVN/POC)
The script builds a professional-style HUD that displays the key institutional regions and structural levels that matter most for gold traders.
📌 Key Features
1 — Market Structure Engine (HH/HL & BOS)
The indicator detects:
Minor swing Highs and Lows
Last confirmed HH / HL levels
Break of Structure (BOS) for directional bias
EMA-200 trend filter (UP / DOWN / NEUTRAL)
This gives traders a clean structural read without clutter or noise.
2 — Loose FVG Engine (Tolerance-Based ICT Gaps)
A soft-threshold FVG engine detects “loose” Fair Value Gaps using a 0.1% price tolerance.
This method ensures:
Fewer missed imbalances
Cleaner OB/FVG alignment
Higher accuracy on 4H gold displacement legs
FVGs automatically shift to the right side of the chart for clean visualization.
3 — Order Block Engine (Demand/Supply + Strong/Weak Classification)
A simplified ICT-style OB engine scans the past few candles whenever BOS is detected.
It identifies:
Demand OB during bullish BOS
Supply OB during bearish BOS
Strong OB if fully nested inside an active FVG
Weak OB otherwise
OB boxes include:
Clear color coding (strong vs. weak)
Price range labels inside each box
Automatic right-shift for visual clarity
4 — Volume Profile Engine (POC / HVN / LVN / VAH / VAL)
Based on a rolling window (default 120 bars), the script builds a lightweight volume distribution.
It displays:
POC (Point of Control)
HVN (High Volume Node)
LVN (Low Volume Node)
Value Area High / Low
HVN/LVN zones are shown as right-shifted colored boxes with price labels.
These zones help identify:
Institutional accumulation
Low-liquidity rejection points
Areas where price tends to react strongly
5 — Support / Resistance Mapping
The script automatically generates:
OB-based support/resistance
Swing-high/swing-low levels
HVN/LVN structural levels
These are displayed in the HUD for fast reference.
6 — Professional HUD Panel
A compact, easy-to-read HUD summarizes:
Trend direction
Latest HH/HL
OB ranges (Strong/Weak)
HVN/LVN price zones
POC
Multi-layer support & resistance
This turns the script into a fully functional analysis dashboard.
📌 What This Indicator Is NOT
To avoid misunderstanding:
It does not take entries or generate buy/sell signals
It does not auto-detect CHOCH, MSS, SMT, or sweeps
It is not a trading bot
This tool is designed as an institutional-style map and analysis HUD, not a strategy.
📌 Best Use Case
This indicator is ideal for traders who want to:
Read institutional structure on XAUUSD
Identify clean Demand/Supply zones
Visualize FVG/OB/HVN interactions
Track high-value liquidity levels
Build directional bias on 4H before dropping to execution timeframes
⚠ Important Note
This tool is designed exclusively for the 4H timeframe.
Using it on lower timeframes will display a warning.
🟡 GOLD 4H HUD v12 — Time-Safe Nuclear Edition🟡 GOLD 4H HUD v12 — Time-Safe Nuclear Edition
A full–scale Smart Money Concepts (SMC) analytics engine designed exclusively for XAUUSD on the 4-Hour timeframe.
This script combines market structure, liquidity, displacement, order blocks, imbalance, volume profile, SMT divergence, and institutional behavior modeling into a single unified HUD.
Built with a time-safe architecture, all structural elements (OB/FVG/Sweep) are stored by timestamp to minimize repainting and preserve event integrity.
📌 Core Features (12 Modules + Full HUD)
1 — Market Structure Engine
Automatically detects:
HH / HL / LH / LL
BOS (Break of Structure)
MSS (Market Structure Shift)
CHOCH (Change of Character)
Real swing pivots & trend state
2 — Sweep Engine (Liquidity Grab Detection)
Identifies institutional liquidity grabs:
Break + reclaim of highs/lows
ATR-filtered invalidation
Displacement-backed sweeps
3 — Time-Safe FVG Engine
Detects Bullish/Bearish Fair Value Gaps
ATR-tolerant FVG logic
Automatic right-extension
Auto-delete when filled or invalid
4 — Time-Safe Order Block Engine
Demand & Supply OB detection
Strength classification (Weak vs Strong)
FVG-overlap confirmation
Timestamp-locked (non-repainting)
5 — Volume Profile Engine (HVN / LVN / POC)
Real-time micro-profile:
High Volume Node (HVN)
Low Volume Node (LVN)
Point of Control (POC)
6 — SMT Engine (Gold vs DXY Divergence)
Smart Money Divergence built-in:
Bullish SMT
Bearish SMT
Directional confirmation with zero lag
7 — Displacement Engine
Measures institutional impulse:
Body-based impulse detection
Multi-leg continuation signals
FVG continuation moves
Generates displacement score
8 — Premium / Discount Model
Auto-classifies price into:
Discount (Buy zone)
Premium (Sell zone)
9 — SMC Trend Engine (Score-Based)
Combines 10+ factors:
Structure
FVG
OB power
Displacement
POC positioning
SMT conditions
Outputs:
BULL / BEAR / RANGE
Full scoring system
10 — Institutional Imbalance Model (IMB Engine)
Combines:
PD zones
Sweep direction
Displacement
SMT
OB strength
CHOCH/MSS
A complete institutional bias filter.
11 — Entry Engine (Signal Fusion Model)
Entry conditions fuse:
Sweep
CHOCH
Displacement
OB strength
FVG alignment
SMT confirmation
Also outputs:
Suggested SL/TP
Entry score
12 — Trendline Engine
Auto-draws:
HL → HL bullish trendlines
LH → LH bearish trendlines
+ Full Nuclear HUD
Displays:
Market structure
Trend direction
SMT / CHOCH / MSS
FVG / OB zones
HVN / LVN / POC
Liquidity strength
Entry model
Liquidity Magnet direction
SL/TP map
A complete institutional dashboard in one place.
⚠ Usage Requirement
This script is designed ONLY for the 4H timeframe.
✨ Summary
GOLD 4H HUD v12 — Time-Safe Nuclear Edition
is not just an indicator.
It is a full institutional-grade SMC analysis system, built specifically for Gold.
If you trade XAUUSD on the 4H timeframe —
this is your complete market intelligence HUD
Ultimate Trend System — FINAL MASTER EDITIONUltimate Trend System — FINAL MASTER EDITION
A complete, multi‑layered trend‑detection engine designed for precision execution and clarity.
This final edition fuses trend, momentum, volatility, and filtering into one symmetrical logic system — enabling traders to instantly visualize directional strength and avoid false signals during choppy markets.
🔹 System Overview
The Ultimate Trend System consolidates several classic trading frameworks into a unified model.
It dynamically generates BUY, SELL, and STOP tags directly on the chart — each derived from clean, interlinked conditions that measure both momentum and structure.
In addition, a built‑in information panel summarizes live indicator states for quick decision‑making without checking multiple indicators.
⚙️ Core Logic Components
SMA (20‑period): Identifies trend slope; rising → bullish bias, falling → bearish bias.
VWAP: Defines fair‑value position — Above, Below, or Inside volume‑weighted average price.
QQE‑Lite (RSI): Tracks internal momentum shifts by comparing RSI to its EMA smoothing.
ATR Strength: Classifies current volatility regime as Turbo, Strong, or Weak.
SuperTrend: Confirms structural trend direction using an ATR‑based trailing model.
Choppiness Filter: Suppresses signals when short‑term volatility contracts or range noise dominates.
Fakeout Detection: Prevents false triggers after deceptive breakouts or reversals.
🧩 Execution Logic
BUY Signal: All major trend engines align bullishly, with clean structure and momentum.
SELL Signal: All major engines align bearishly, with clean structure and momentum.
STOP Phase: Appears once per cycle to mark neutral or transition zones; automatically locks further stops until a new entry signal is confirmed.
🟩🟥 Visual Elements
Green Labels: Confirmed bullish entry (BUY).
Red Labels: Confirmed bearish entry (SELL).
Yellow Labels: STOP state (trend exhaustion or consolidation).
Panel: Displays live readings for VWAP, SMA, QQE, ATR regime, and SuperTrend direction.
🧠 Design Philosophy
Built for simplicity, speed, and precision — the Final Master Edition strips away noise without losing analytical depth.
It can serve as a standalone trend system or foundation layer for more advanced frameworks like auto‑execution or multi‑engine HUDs.
Execution Heatmap v8 — Classic Blocks (Final Logic)This indicator visualizes real-time market context through a structured execution heatmap, representing multiple analytic dimensions in a compact on-chart panel. Designed for traders who rely on confluence-based decision making, it tracks the shifting behavior of price, volume, and structural regimes to help identify momentum shifts, exhaustion points, and directional conviction.
🔶 Overview
The Execution Heatmap v8 consolidates key elements from trend, volume, and momentum analysis into a single panel. Each row represents a core component of the execution model, colored dynamically to reflect bullish, bearish, neutral, or mixed states. The final block produces a BUY, SELL, or SELL-ALERT classification — fully aligned with the internal logic of the GOLDMASTER‑HUD framework.
🔸 Core Logic Components
VWAP Direction: Detects price bias relative to VWAP (overextended, below value, or neutral).
Impulse Engine: Evaluates momentum using RSI and MFI thresholds to determine directional energy.
Volume Surge: Highlights aggressive volume imbalances and determines the dominant side (bull or bear).
Fake Break Detection: Identifies false breakouts at recent swing extremes to flag potential reversals.
Regime Filter: Measures underlying trend structure using dual‑EMA alignment (20/50 EMA).
Pattern Recognition: Detects emerging HL (higher low) or LH (lower high) structures.
Structure Strength: Maps strong vs. weak structural phases based on regime and pattern alignment.
Final Signal Engine: Synthesizes all modules into actionable classifications:
BUY: Price structure supports trend continuation.
SELL‑ALERT: Early weakness or exhaustion detected within a strong up‑trend.
SELL: Confirmed reversal alignment (momentum, VWAP, volume, and structure all bearish).
WAIT: Caution when conditions remain inconclusive.
🟩🟥 Color‑Coded Heat Blocks
Each metric is represented as a colored cell:
Green: Bullish / upward bias
Red: Bearish / downward bias
Yellow: Neutral / weak / mixed
Dark gray: Undefined or transitional
⚙️ Customization
Adjustable panel position (bottom‑right, bottom‑left, top‑right, top‑left).
Non‑intrusive table layout optimized for overlaying on active charts.
Lightweight execution with minimal resource load, ideal for intraday use.
FX Fresh Momentum FX Fresh Momentum calculates the true strength and session momentum of the 8 major currencies using a 7-pair average and session resets (Tokyo, London, New York).
Each session opens with a zero-base, allowing you to see only the fresh momentum.
Includes pair-averaged strength, ×100 momentum scaling, vertical session dividers, and institutional color coding.
Ideal for FX day traders who want cleaner session-based momentum signals
Trade Setup A+ Full System [XAUUSD]🚀 Trade Setup A+: Liquidity Hunter System
This indicator is designed for XAUUSD (Gold) scalping and swing trading, combining Smart Money Concepts (SMC) with Price Action. The system focuses on high-probability setups by identifying where major liquidity resides.
💎 Key Features:
Auto Order Blocks: Automatically draws Bullish (Green) and Bearish (Red) Order Blocks from 4H/1H timeframes.
Liquidity Levels: Displays Previous Day High (Old High) and Previous Day Low (Old Low) to identify liquidity sweeps.
Trend Filter: Includes a color-coded EMA 14 for 5m momentum confirmation.
Macro Time Zones: Highlights high-volume trading sessions (Asia, London, NY) directly on the chart background.
📈 How to Trade:
SELL: Wait for price to reject a Bearish Order Block or sweep the Old High. Confirm with a break below EMA 14 (5m).
BUY: Wait for price to reject a Bullish Order Block or sweep the Old Low. Confirm with a break above EMA 14 (5m).
Best Times: Focus on highlighted Macro Times (colored background) for better volatility.
⚠️ Disclaimer: This tool is for educational purposes only. Always use proper risk management.
ระบบเทรด "Setup A+" ที่ออกแบบมาเพื่อการเก็งกำไรในทองคำ (XAUUSD) โดยเฉพาะ โดยเน้นความแม่นยำสูง (High Probability) และ Risk Reward Ratio (RR) ที่คุ้มค่าค่ะ
ระบบนี้ผสมผสานระหว่าง Smart Money Concepts (SMC) และ Price Action เพื่อหาจุดที่รายใหญ่เข้าตลาด โดยมีหลักการสำคัญคือ "ตามรอยสภาพคล่อง (Liquidity)" ค่ะ
💎 ทำไมต้องระบบนี้? (Key Concepts)
ตลาดไม่ได้เคลื่อนที่แบบสุ่ม แต่เคลื่อนที่เพื่อไปหา Liquidity (สภาพคล่อง) เสมอค่ะ
ล่า Stop Loss: ก่อนกราฟจะกลับตัวจริง มักจะวิ่งไปกิน Stop Loss ของรายย่อยที่ Old High หรือ Old Low เสมอ
Order Block: เราจะเข้าเทรดในจุดที่ "เจ้ามือ" วางเงินก้อนใหญ่ไว้
Macro Time: เทรดเฉพาะช่วงเวลาที่มี Volume จริงเท่านั้น เพื่อลดการติดดอยและรอราคานาน
🛠️ เครื่องมือที่ใช้ (System Tools)
Auto Order Block: กล่องโซนซื้อขาย (Supply & Demand) จาก Timeframe 4H/1H
Old High / Old Low: เส้นราคา High/Low ของวันก่อนหน้า (จุดดักกิน SL)
EMA 14: เส้นแบ่งทิศทาง Momentum ระยะสั้น (ใช้ใน TF 5m)
Macro Time Zones: แถบสีบอกช่วงเวลาเทรด (Killzones)
📋 กฎการเทรด (Trading Rules)
คู่เงิน: XAUUSD (Gold) Timeframe วิเคราะห์: 4H, 1H Timeframe เข้าออเดอร์: 5m, 15m Winrate คาดหวัง: 80-90% (เมื่อรอ Setup ที่สมบูรณ์)
⏰ ช่วงเวลาเทรด (Macro Time - GMT+7)
เน้นเทรดช่วงที่กราฟวิ่งแรง (Expansion) เพื่อจบงานไวค่ะ:
07:00 - 09:00 (Asia)
14:00 - 15:30 (London Open)
17:00 - 19:00 (London/NY Overlap - แรงสุด)
23:00 - 00:30 (NY PM)
⚠️ เลี่ยงช่วง 20:30 - 22:00 (NY Open) เพราะกราฟมักสบัดหลอกค่ะ
Anup Algo + For Full Version Contact on Whatsapp +918123456805Best indicator For Algo Trading Auto Buys & Sells, Auto Tp & Sl Works for All pairs forex commodities crypto
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幣Real專屬指標 (試用版-2025/12/31)### English Description
**Overview**
This "Multiple Judgment Indicator" is a comprehensive trading tool designed to filter out market noise and identify high-probability trend reversals. It combines trend analysis with momentum oscillators to generate clear entry and exit signals.
**Key Features & Logic**
The script calculates a composite signal based on the following logic:
1. **Trend Filter:** It uses 【填入指標1,例如: EMA 200】 to determine the overall market direction.
2. **Momentum Confirmation:** It incorporates 【填入指標2,例如: RSI or MACD】 to detect overbought/oversold conditions.
3. **Signal Generation:** A strict "Multiple Judgment" algorithm ensures that signals are only plotted when all conditions align, reducing false positives in choppy markets.
**How to Use**
* **Long Signal:** Look for the 【填入顏色,例如: Green】 label/shape on the chart. This indicates that the trend is bullish and momentum is supportive.
* **Short Signal:** Look for the 【填入顏色,例如: Red】 label/shape. This suggests a potential downward move.
* **Stop Loss:** Suggested stop loss levels can be placed at the recent swing high/low.
**Trial Information**
This script is currently available for a free trial.
* **Expiration Date:** 2025/12/31
* After this date, the indicator will require re-authorization or an update to function.
---------------------------------------
### 中文說明
**概述**
本「多重判定指標」是一個綜合型的交易工具,旨在過濾市場雜訊並識別高機率的趨勢反轉點。它結合了趨勢分析與動能震盪指標,以產生明確的進出場訊號。
**核心功能與邏輯**
本腳本基於以下邏輯計算綜合訊號:
1. **趨勢過濾:** 使用 【填入指標1,例如: EMA 200】 來判斷整體市場方向。
2. **動能確認:** 結合 【填入指標2,例如: RSI 或 MACD】 來偵測超買/超賣區域。
3. **訊號生成:** 嚴格的「多重判定」演算法確保只有在所有條件都一致時才會發出訊號,減少盤整市場中的假突破。
**使用方法**
* **做多訊號:** 當圖表上出現 【填入顏色,例如: 綠色】 標籤/圖形時,代表趨勢看漲且動能支撐。
* **做空訊號:** 當出現 【填入顏色,例如: 紅色】 標籤/圖形時,代表潛在的下跌趨勢。
**試用資訊**
本指標目前提供免費試用。
* **試用期限:** 至 2025/12/31 止。
* 過期後指標將需要重新授權或更新才可繼續使用。
Basis & APR Table [BTC/ETH]Basis & APR Table
BTC, ETH의 선물 가격과 현물 가격의 차이(베이시스) 그리고 그 차이를 **연 환산 수익률(APR)**로 바꿔서 보여주는 표야.
두 개의 선물 만기(예: 12/26, 03/27)를 동시에 보면서 어떤 만기가 더 매력적인지 비교할 수 있게 만든 거라고 보면 돼.
컬럼별 설명
종목명
코인 이름 (BTC, ETH).
1226 (18일 남음)
12월 26일에 만기되는 선물 가격.
뒤에 적힌 “18일 남음”은 그 만기까지 남은 날짜 수.
갭-1
1226 선물이 현재 현물 가격보다 몇 퍼센트 비싸거나 싼지를 나타내는 값.
양수면 선물이 현물보다 비싸고, 음수면 선물이 더 싼 상태.
APR-1
갭-1을 연 수익률 기준으로 환산한 값.
지금 기준 가격 차이가, 12월 26일까지 같은 비율로 유지된다고 가정했을 때
1년 기준으로 환산하면 몇 퍼센트 수익률이 되는지 보여줌.
0327 (109일 남음)
3월 27일 만기 선물 가격.
괄호 안은 역시 그 만기까지 남은 일수.
갭-2
0327 선물의 현물 대비 가격 차이를 퍼센트로 표시한 값.
해석은 갭-1과 동일.
APR-2
갭-2를 연 수익률 기준으로 환산한 값.
3월 27일 만기까지 들고 있다고 가정했을 때의 연 환산 수익률.
현물
현재 BTC 혹은 ETH의 실제 현물 가격.
기본편비-1 / 기본편비-2
사용자가 미리 정해 둔 기준 베이시스(또는 기준 APR) 값으로 보는 게 자연스러워.
이 숫자와 비교해서
현재 APR이 이 값보다 높으면 “평소보다 베이시스가 많이 붙었다(프리미엄 큼)”
낮으면 “평소보다 베이시스가 작다(프리미엄 작음)”
정도 판단하는 용도로 쓰는 참고 기준치라고 이해하면 돼.
Basis & APR Table
This table displays the futures basis (the price difference between futures and spot) for BTC and ETH,
and converts that difference into an annualized return (APR).
You can compare two expiries (e.g., Dec 26 and Mar 27) to see which one offers a more attractive implied yield
for a basis or cash-and-carry trade.
Column details
Symbol
The asset name (BTC, ETH).
1226 (18 days left)
Futures price that expires on December 26.
“18 days left” shows how many days remain until that expiry.
Gap-1
How many percent the 1226 futures price is above or below the current spot price.
Positive = futures are more expensive than spot (premium).
Negative = futures are cheaper than spot (discount).
APR-1
The annualized return implied by Gap-1.
It tells you what the yield would be on a yearly basis if today’s price difference stayed the same
and you held the position until the Dec 26 expiry.
0327 (109 days left)
Futures price that expires on March 27.
The number in parentheses is the remaining days to that expiry.
Gap-2
Percentage premium or discount of the Mar 27 futures relative to spot.
Interpreted in the same way as Gap-1.
APR-2
Annualized return implied by Gap-2, assuming you hold the position until the Mar 27 expiry.
Spot
The current spot price of BTC or ETH.
Base Basis-1 / Base Basis-2
User-defined reference levels for the “normal” basis or APR for the near and far contracts.
They are used as benchmarks:
If the current APR is above this level, the basis is relatively rich.
If it is below, the basis is relatively cheap.
Gap Zones with Unfilled AreasA very efficient scalping strategy for BTC. Both for the sell and buy. Take the trade when the price retraces back into 50% of the zone and and aim for a an easy 1:2






















