Killzones by (Pecurtoo)This indicator highlights key trading sessions on the chart in UTC+1 (Brussels) timezone. It allows traders to visually identify the Asian, London, New York AM, and New York PM sessions with customizable start and end times and colors. The sessions are displayed as shaded backgrounds on the chart, making it easier to spot periods of high market activity and potential volatility. All session times and colors can be fully edited by the user, providing flexibility to match different trading strategies.
It is ideal for traders using ICT Killzone concepts, intraday strategies, or those who want to track session-specific market activity.
指标和策略
Game Shift PlusGame Shift Plus," is a sophisticated multi-factor technical analysis tool designed to identify market structure, institutional zones, and momentum shifts.The indicator combines classic trend-following metrics with SMC (Smart Money Concepts) like Fair Value Gaps (FVG) and Order Blocks (OB). Below is a breakdown of the core mechanics and how the logic translates to price action.1. Market Regime & Trend IdentificationThe script establishes a "Trend Filter" using three primary layers:EMAs (13 & 20): Used for short-term momentum crossover.SuperTrend: Determines the overall directional bias.RSI (Relative Strength Index): Adds a volatility/strength filter ($>55$ for Bullish, $<45$ for Bearish).The bgcolor logic visually separates the chart into three zones: Green (Bullish), Red (Bearish), and Gray (Sideways/Neutral).2. SMC & Institutional LogicThe script looks for "Inefficiencies" and "Institutional footprints" through:Fair Value Gaps (FVG): It identifies gaps where price moves so quickly that it leaves a "void" between the low of Candle 1 and the high of Candle 3. These often act as magnets for future price action.Order Blocks (OB): The current logic flags potential reversals where a previous candle's liquidity is "swept" followed by an engulfing move.Imbalance: Marked by circles, these indicate points where the price is significantly extended relative to the 5-period high/low.3. Market Phases (Accumulation vs. Expansion)The script uses ATR (Average True Range) to detect market cycles:Accumulation: When ATR is lower than its 20-period moving average (Low volatility, consolidation).Expansion: When ATR rises (High volatility, trending move).4. Fibonacci Discount ZonesIt automatically calculates levels based on the 50-bar lookback high and low. These levels (23.6%, 38.2%, and 61.8%) are plotted to show "Discount" or "Premium" areas where institutional traders typically look to enter or exit.Summary of Dashboard OutputsThe floating label (Dashboard) provides a real-time summary of these complex calculations:| Label Item | Derived From || :--- | :--- || Trend | EMA Cross + SuperTrend + RSI || Phase | ATR vs SMA(ATR) || OB Bull/Bear | Liquidity sweep logic || Imbalance | Extremes of the 5-bar range |Potential Improvements for your LogicOB Precision: The current obBull logic is a simple engulfing pattern. To make it a true Smart Money Order Block, you might consider filtering for OBs that specifically lead to a Market Structure Shift (MSS) or a Break of Structure (BOS).Fibonacci dynamic: Currently, the Fibs use a fixed 50-bar lookback. Using a "Swing High/Low" detection (via ta.pivothigh) would make the retracement levels more reactive to actual trend turns.
Multiple Anchored VWAP With BandsThe Anchored VWAP (aVWAP) indicator lets traders select a specific starting bar—such as a significant high or low, an earnings release, or a major news event—to anchor VWAP calculations. By resetting the VWAP from a chosen moment, it clearly visualizes whether bullish or bearish momentum has dominated since that point, offering insight into shifts in market sentiment. The added bands helps to catch the price correctly.
This tool allows you to plot up to four separate aVWAP lines on your chart, each fully customizable.
Key Features:
- Plot independent aVWAP lines
- Set a custom start date and time for each anchor point
- Choose custom colors for each line
- Optionally label the starting bar for clarity
- Apply custom resolutions for flexible timeframe analysis
Filtered Outside BarPerfect! Let’s create a **TradingView-ready description** with **visual explanations** for your “RSI Filtered Outside Bar” indicator. I’ll include **how it looks on the chart** and **what each feature does** so your post will be professional and clear.
---
# 📊 RSI Filtered Outside Bar – Indicator
**Overlay:** ✅ Yes (Plotted on price chart)
**Purpose:** Detects **bullish and bearish outside bars** filtered by RSI overbought/oversold conditions. Perfect for spotting reversals or continuation setups.
---
## 🔹 Features
| Feature | Description |
| ------------------------- | -------------------------------------------------------------------------------------------------------- |
| **Outside Bar Detection** | Detects consecutive outside bars (user-configurable `Number of Outside Bars`) |
| **RSI Filter** | Only triggers if previous bar RSI is in overbought or oversold zones |
| **Signal Arrows** | Optional bullish (green) and bearish (red) arrows plotted on chart |
| **Signal Lines** | Optional horizontal lines at high/low of the outside bar with configurable length and color |
| **Customizable Inputs** | Users can adjust RSI period, overbought/oversold levels, line color, extension length, arrows visibility |
---
## 🔹 Input Settings
**Outside Bar Settings:**
* Number of Outside Bars
* Show Arrow (✅/❌)
* Show Signal Lines (✅/❌)
* Signal Line Extension Length
* Signal Line Color
**RSI Settings:**
* RSI Length
* RSI Overbought Level
* RSI Oversold Level
---
## 🔹 How It Works (Visual Explanation)
**1️⃣ Bullish Outside Bar Signal**
* Previous bars are bearish
* Current bar is an outside bar (high > previous high, low < previous low)
* RSI of previous bar in overbought/oversold zone
**Chart Example:**
```
High ──────────────●
│
Close ──────────● │
Open ──────────│● │
Low ──────────│ ●
Bullish Arrow ↓ (below bar)
Horizontal line at high & low
```
---
**2️⃣ Bearish Outside Bar Signal**
* Previous bars are bullish
* Current bar is an outside bar
* RSI of previous bar in overbought/oversold zone
**Chart Example:**
```
High ──────────●│
Open ──────────│●│
Close──────────│ │●
Low ──────────●
Bearish Arrow ↑ (above bar)
Horizontal line at high & low
```
---
## 🔹 Notes
* Works on **any timeframe**
* Overlay on price chart, so arrows and lines are visible directly on candles
* Lines extend automatically based on user-defined length
* Arrow color, size, and line color are configurable
---
✅ **Trading Strategy Use Cases:**
* Spot potential **reversals** after RSI extremes
* Identify **high probability breakout bars**
* Combine with support/resistance or trend indicators
[ARTIO] TTG Levels Pro: The Grail (S.C.T.) TTG Levels Pro Professional Multi-Timeframe & Intraday Analysis Tool
This indicator is a comprehensive solution for analyzing Key Levels across multiple timeframes and tracking intraday structure. It automates the calculation of significant Support/Resistance zones and provides real-time Volume Weighted data.
How it works (Technical Methodology):
Multi-Timeframe Levels (HTF): The script uses request.security() to fetch High and Low pivot data from higher timeframes (1M, 1W, 1D, 4H, 1H). It identifies the most relevant "unbroken" range levels and projects them onto the current chart.
Intraday Structure (VWAP & Bisector):
VWAP (Volume Weighted Average Price): Calculated cumulatively from the start of the trading day. This represents the fair value based on volume distribution.
Daily Bisector (Midpoint): Calculates the 50% retracement level of the current daily range (High + Low) / 2. This updates dynamically with every tick as the daily range expands.
Visualization Engine:
History Mode: Users can toggle "Path" mode to see how the VWAP and Bisector levels evolved throughout the session (stepline visualization).
Clean Mode: Users can switch to a straight-line projection to keep the chart clean, focusing only on current values.
Features:
Monitor 6 Timeframes simultaneously.
Dynamic Alert System (Price Proximity & Trend Direction).
Synergy Detection: Alerts when multiple timeframe levels cluster together within a defined % range.
Customizable Dashboard Table.
Settings are fully customizable via the inputs menu.
MyTime Hybrid TargetsThis Pine Script code, titled "Game Shift Plus," is a sophisticated multi-factor technical analysis tool designed to identify market structure, institutional zones, and momentum shifts.The indicator combines classic trend-following metrics with SMC (Smart Money Concepts) like Fair Value Gaps (FVG) and Order Blocks (OB). Below is a breakdown of the core mechanics and how the logic translates to price action.1. Market Regime & Trend IdentificationThe script establishes a "Trend Filter" using three primary layers:EMAs (13 & 20): Used for short-term momentum crossover.SuperTrend: Determines the overall directional bias.RSI (Relative Strength Index): Adds a volatility/strength filter ($>55$ for Bullish, $<45$ for Bearish).The bgcolor logic visually separates the chart into three zones: Green (Bullish), Red (Bearish), and Gray (Sideways/Neutral).2. SMC & Institutional LogicThe script looks for "Inefficiencies" and "Institutional footprints" through:Fair Value Gaps (FVG): It identifies gaps where price moves so quickly that it leaves a "void" between the low of Candle 1 and the high of Candle 3. These often act as magnets for future price action.Order Blocks (OB): The current logic flags potential reversals where a previous candle's liquidity is "swept" followed by an engulfing move.Imbalance: Marked by circles, these indicate points where the price is significantly extended relative to the 5-period high/low.3. Market Phases (Accumulation vs. Expansion)The script uses ATR (Average True Range) to detect market cycles:Accumulation: When ATR is lower than its 20-period moving average (Low volatility, consolidation).Expansion: When ATR rises (High volatility, trending move).4. Fibonacci Discount ZonesIt automatically calculates levels based on the 50-bar lookback high and low. These levels (23.6%, 38.2%, and 61.8%) are plotted to show "Discount" or "Premium" areas where institutional traders typically look to enter or exit.Summary of Dashboard OutputsThe floating label (Dashboard) provides a real-time summary of these complex calculations:| Label Item | Derived From || :--- | :--- || Trend | EMA Cross + SuperTrend + RSI || Phase | ATR vs SMA(ATR) || OB Bull/Bear | Liquidity sweep logic || Imbalance | Extremes of the 5-bar range |Potential Improvements for your LogicOB Precision: The current obBull logic is a simple engulfing pattern. To make it a true Smart Money Order Block, you might consider filtering for OBs that specifically lead to a Market Structure Shift (MSS) or a Break of Structure (BOS).Fibonacci dynamic: Currently, the Fibs use a fixed 50-bar lookback. Using a "Swing High/Low" detection (via ta.pivothigh) would make the retracement levels more reactive to actual trend turns.
Midnight Open Line by PecurtoooMidnight Open line, based on SMT concepts.
This indicator plots the Midnight Open price of the current trading day and draws a horizontal reference line starting exactly at 06:00. The line is created only on intraday timeframes from 5 minutes up to 1 hour and automatically resets at the start of each new day.
The purpose of the indicator is to provide a clear session-based price reference for London and New York trading, allowing traders to observe how price reacts to the midnight open after the Asian session. The line color and width are fully customizable, and the indicator respects the selected timezone to ensure accurate session alignment.
This tool is intended for intraday trading and session analysis, helping identify potential support, resistance, and directional bias relative to the daily midnight open.
MyTime Hybrid TargetsThis script, "MyTime Hybrid Targets," is a professional-grade trading system that combines trend-following momentum with advanced liquidity concepts and volatility-adjusted targets. It is designed to provide traders with a high-probability "Institutional-style" framework for scalping or swing trading.
Here is a point-by-point breakdown of the script’s features:
1. 4-Layer Trend Confirmation Engine
The script uses a strict multi-layer filter to ensure you only trade in the direction of the "Strong Trend."
EMA Hybrid: Uses a 13-period and 20-period EMA crossover logic to detect short-term trend direction.
SuperTrend Integration: Filters entries through the SuperTrend algorithm to ensure the price has broken structural resistance/support.
RSI Momentum Filter: Only triggers Buy signals when RSI > 50 and Sell signals when RSI < 50, ensuring positive or negative momentum is present.
2. Smart Liquidity Sweep Logic
Unlike standard indicators that fire on every crossover, this script includes a Liquidity Sweep check:
Institutional "Stop-Hunts": It identifies when the price has swept the 10-bar low (for buys) or the 10-bar high (for sells).
Smart Money Entry: This identifies the "sweep before the move," allowing you to enter where big players are entering, rather than getting caught in the trap.
3. Volatility-Filtered Candle Entries
ATR Strength Gate: Only "Strong Candles" (Marubozu or high-momentum candles) trigger a signal. The candle body must be at least 50% of the recent ATR, filtering out weak, "indecisive" price action and dojis.
4. Triple-Stage Hybrid Profit Targets
The indicator automatically projects three distinct types of profit targets the moment a signal is fired:
T1 - Structural Fibonacci (0.618): Targets the next major structural level based on the recent 20-bar swing high/low. This is your high-probability "Scalp" target.
T2 - Dynamic Zone (1.5x ATR): A volatility-adjusted target that accounts for the current market environment.
T3 - Trend Extension (2.5x ATR): Designed for "Runners" to capture larger trend extensions during high-volatility moves.
5. Clean & Actionable UI
B/S Labels: Large, clear "B" (Buy) and "S" (Sell) labels appear below and above the bars to ensure you never miss an entry.
Multi-Target Dashboard: Floating labels on the chart tell you exactly which target is which (Fib vs. Zone vs. ATR), keeping your chart organized and professional.
Best Use Cases:
Scalping: 1m to 5m timeframes for quick T1/T2 hits.
Intraday/Swing: 15m to 1h timeframes for trend-following moves toward T3.
Multi-Timeframe ATR PanelThis indicator is designed to summarize information across popular timeframes for one of the most widely used and essential indicators — ATR and ATR% — presented in a table format.
I use it to configure my trading bots when I need to quickly check current values on higher timeframes as well as on my working timeframe (for example, 5 minutes for me).
P.S. This is my first experience creating indicators on TradingView, so please don't judge too harshly. I'm open to constructive feedback
-----------------------------------------------
Данный индикатор предназначен для обобщения информации на популярных тайм фреймах одного из самых популярных и необходимых трейдерам индикаторов ATR и ATR% в виде таблицы.
Я использую его для настройки своих ботов когда необходимо здесь и сейчас узнать значения на старших тайм фреймах и рабочем (мой допустим 5 минут).
P/S Это мой первый опыт создания индикаторов на TradingView если что просьба не судить строго, готов выслушать конструктивную критику
optionboss1. Dual-Directional Scalping Intelligence
This optionboss is built to identify high-probability Call (CE) and Put (PE) opportunities in real-time. It eliminates guesswork by providing clear "BUY CE" and "BUY PE" labels directly on the candles when the trend is ready to reverse or extend.
2. Proprietary "Dual Space" Logic
The script uses a specialized "Distance-from-Mean" calculation. It only triggers signals when the price is overextended (far from the baseline), ensuring you aren't trading in the "choppy" middle zone. This significantly reduces false signals compared to standard indicators.
3. Automatic T1 Target Projection
Stop wondering where to take profits. The optionboss automatically draws a T1 Target Line the moment a signal appears.
4. Candlestick "Elimination" Verification
The signal logic is based on institutional price action. A "BUY CE" only triggers when a green candle successfully "takes out" the high of a previous red candle at an extreme level, confirming that buyers have seized control.
5. Clean & Stealth Interface
Designed for professional traders who want a clean chart. The core moving averages are hidden behind generic "Sensitivity" settings to protect the strategy’s secrets. You get clear, non-repainting labels that stay fixed once the candle closes.
6. Fully Customizable for All Markets
While optimized for 5-minute scalping, the "Primary" and "Secondary" sensitivity inputs allow you to tune the engine for Nifty, Bank Nifty, Forex, or Crypto.
How to get access:
"This is a private, Invite-Only script. To maintain the quality of the signals and protect the strategy, access is restricted to authorized users. Please message me directly for subscription details and to have your TradingView username added to the access list."
Cosmic Emergence v5.1: Golden Ratio & Signal FrameworkTitle: Cosmic Emergence v5.1: Golden Ratio & Signal FrameworkDescription
Description :
The Cosmic Emergence v5.1 is a high-fidelity ontological signal system that measures the "Crystallization" of market consciousness. By utilizing a Golden Ratio-weighted engine, it translates complex volatility and momentum into a single index ($\Psi_U$) to identify phase transitions between chaos and order.
Key Features:
Golden Ratio Engine: A harmonic synthesis of Momentum (60%) and Smart Volatility (40%) to calculate the Market Consciousness Index.
Entity State Analysis: Distinguishes between "Crystallized" (Orderly/Trend) and "Chaotic" (Fluid/Range) regimes.
Future Projection Horizon: Visualizes the expected path of price realization through a dynamic future cloud.
Ontological Signals: Precise BUY/SELL labels triggered by consciousness crossovers, backed by narrative alerts.
Mizan v12: The Void Hunter (Ontological Liquidity)Title: Mizan v12: The Void Hunter (Ontological Liquidity Engine)
Overview: Mizan v12 is an advanced market structure tool that identifies Liquidity Voids (Fair Value Gaps) and uses a proprietary L-Score Engine to predict price reversion or continuation. Based on the philosophy of "Ontological Potential," it assumes that unfilled gaps act as magnets, pulling the price toward areas where market orders were not fully realized.
Technical Components:
The L-Score Engine: A composite momentum and volume index using normalized CCI (Velocity), RSI (Saturation), and CMF (Mass). It determines whether a "Displacement" move has enough gravity to sustain its direction.
Void Detection (FVG): The script dynamically identifies voids where a gap exists between the wicks of the 1st and 3rd candle. These are visualized as colored boxes.
Mitigation Logic: To keep the chart clean, the indicator automatically "mitigates" (deletes) void boxes once the price has retraced and filled the gap.
The Magnet Effect: It calculates the nearest active void above and below the current price, providing clear targets for take-profits or entry zones.
Operational Status:
Hunting Void: L-Score confirms momentum toward the nearest unfilled gap.
Reversion Completed: Price has successfully retraced into a void and is showing signs of a bounce.
Displacement: A strong impulse move that is leaving new voids behind, indicating a high-velocity trend.
Genesis Vector Ontology [GVO]Overview:
The Genesis Vector Ontology (GVO) is a high-fidelity market analysis tool designed to identify the "Birth" (Genesis) of market trends by calculating the transition from potential energy to kinetic movement. It treats price action not as a random walk, but as a vibrational field that "collapses" into a directional vector when market mass and tension reach a critical threshold.
Core Mathematical Logic:
Ontological Potential (Ψ): Based on the volatility-vibration principle, Ψ measures the energy stored in the price field. Using a normalized standard deviation, the script identifies "Squeeze" states where energy is compressed and ready for release.
Gravitational Mass (g(m)):
Unlike traditional volume indicators, GVO calculates "Mass" as a ratio of current volume relative to a moving average. A move is only considered "Real" (Ontologically Actualized) if it exceeds the user-defined Mass Threshold.
The Vector Resultant: The final Genesis Vector is the product of Potential, Mass, and Directional Momentum ($Vector = \Psi \cdot g(m) \cdot Direction$). This provides a smoothed representation of the true market wave, filtering out noise.
The Mizan (Fairness) Filter: Unique to the GVO framework is the Fairness Filter. By integrating the Money Flow Index (MFI), the script monitors "Greed" and "Fear" zones. It prevents entries in "Unfair" zones (extremes), ensuring that signals occur only when the market is in a state of balanced participation.
How to Use:
Charging (Grey Columns): Market is in a Squeeze state. Energy is building.
Release (Green/Red Columns): Ontological collapse detected. A new vector has been born.
GVO Signals: Labels appear when a Squeeze is released with high-mass confirmation and directional clarity.
FX_IDC_MYRIDRMYRIDR is the foreign exchange (Forex) ticker for the Malaysian Ringgit to Indonesian Rupiah currency pair. It tracks the exchange rate, representing how many Indonesian Rupiahs (IDR) are required to purchase one Malaysian Ringgit (MYR).
Mizan v5: L-Score Framework (Digital)Title: Mizan v5: L-Score Framework (Digital)
Overview: Mizan v5: L-Score is a quantitative multi-factor oscillator designed to measure market "actualization" based on the Mizan Ontological Framework. It synthesizes velocity, saturation, and volume-mass into a single normalized index (L-Score) to distinguish between market noise and established trends
Technical Components:
Velocity (H): Based on a normalized CCI, it measures the rate of price displacement relative to statistical means.
Saturation (T): Utilizes RSI to identify the exhaustion levels of the current directional move.
Volume Mass (R): Implements a corrected Chaikin Money Flow (CMF) calculation to determine the "ontological weight" behind price action.
The L-Score Logic: The final score is a weighted composite of these three elements. By assigning the highest weight to Volume Mass (60%), the indicator ensures that a price move is only validated as "Real" when it is backed by significant capital flow.
How to Read:
L-Score > 65: Strong trend emergence. Ontological collapse into a "Classical" regime is confirmed.
L-Score < 35: Trend degradation. The market is returning to a state of high entropy or reversal.
Background Shading: Visualizes the price location within a global lookback range (Concentration) to provide a macro context for the L-Score signals.
Cosmic Manifestation v1.2: Ontological CloudOverview:
The Ontological Cloud is a forward-projecting volatility bands system based on the philosophy of "Universal Potential" ($\Psi_U$). Unlike standard Bollinger Bands or Keltner Channels, this indicator adjusts its width based on the Probability Strength of the market state.
Core Concepts:
\Psi_U (Universal Potential):
A composite momentum and volatility index (0-100) that measures the degree of market uncertainty. When \Psi_U$ is high, the "Cloud" crystallizes (narrows), signaling a high-probability trend path.g(m)
(Gravitational Drift):
A proprietary calculation using normalized volume-to-price-action ratios. It creates a "gravitational pull" that shifts the cloud's center, predicting the most likely direction of the "collapse" from potential to actual trend.
The Matryoshka Structure:
The cloud consists of a high-probability "Core" and a lower-probability "Atmosphere," visualizing the superposition of price paths.
How to Use:
Crystallization: When the cloud narrows significantly, it indicates a phase transition is imminent.
Gravitational Shift: Green cloud indicates a "Logos Buy" bias, Red indicates "Logos Sell", and Purple signals a state of "Chaos" (Range).
Future Projection: The cloud is offset into the future to help traders visualize the expected path of price realization.
Moving Avg on all timeframes w/ full controlThis indicator is a multi-moving-average overlay built for intraday traders who want daily context + intraday timing on the same chart. It’s designed to work cleanly on common intraday timeframes like 5-minute, 10-minute, and 65-minute, while still letting you reference your key daily trend levels.
Key ideas
Daily trend context on intraday charts: You can plot moving averages that represent your daily structure (ex: 10/20/50/200) while trading intraday.
Intraday “day-equivalent” moving averages: If you like the Brian Shannon style approach, you can use intraday period equivalents (ex: on 5-min, 5D ≈ 390, 10D ≈ 780, 20D ≈ 1560) so you can “feel” multi-day trend/slope directly on lower timeframes.
Sessions awareness (Premarket + RTH)
Includes session inputs so you can define Premarket (1) and RTH (M) windows.
This helps keep your chart behavior consistent with how you trade (especially if you care about RTH structure vs extended hours).
Each MA slot typically includes:
On/Off toggle (so you can declutter instantly)
Length (any period you want: daily-style or intraday equivalents)
MA type selection (ex: SMA/EMA style options)
Visual controls like line width / style (so your key MA stands out)
Why this is useful
On higher intraday frames (like 65-min) you can track the “intermediate trend” cleanly.
On lower intraday frames (5-min / 10-min) you can time entries/exits while still respecting the bigger MA bias.
Infinity Algo Dashboard═════════════════════════════════════════════════════════════════════════
█ THE PROBLEM
Traders juggle multiple indicators to see the full picture — one for trend, another for support/resistance, another for volatility, another for structure. Charts become cluttered, analysis becomes slow, and opportunities slip away.
█ THE SOLUTION
Infinity Algo Dashboard combines 4 powerful modules into one clean overlay: Multi-Timeframe Analysis, Order Blocks, Market Structure (BOS/CHoCH), and Adaptive Cloud Bands.
One indicator. Complete market context. Zero clutter. Trusted by 8,000+ traders worldwide.
═════════════════════════════════════════════════════════════════════════
█ KEY FEATURES
✅ Multi-Timeframe Dashboard (8 TFs) — trend + volatility at a glance
✅ Algorithmic Order Blocks / Supply & Demand Zones with volume analysis
✅ Market Structure Labels (BOS / CHoCH) for regime detection
✅ Adaptive Cloud Bands for dynamic support/resistance
✅ 16+ Built-in Alert Conditions for automation
✅ 17 Color Themes including colorblind-friendly options
✅ Works on any market: Crypto, Forex, Stocks, Indices
═════════════════════════════════════════════════════════════════════════
█ WHAT MAKES INFINITY ALGO DASHBOARD DIFFERENT
📊 True Multi-Timeframe Analysis
Most MTF dashboards just show moving average direction. Ours shows trend state + volatility regime + volatility trend across 8 timeframes simultaneously. Spot alignment instantly.
🧱 Smart Order Blocks
Not just rectangles on a chart. Our zones include volume metrics (Buy/Sell split), midlines, break detection, and automatic pruning of invalid zones.
📐 Market Structure That Makes Sense
BOS (Break of Structure) and CHoCH (Change of Character) labels derived from actual swing highs/lows — not arbitrary price levels.
☁️ Adaptive Cloud Bands
Volatility-aware envelope that auto-adjusts its period based on your timeframe. Expands in trending markets, contracts in consolidation.
═════════════════════════════════════════════════════════════════════════
█ MODULES EXPLAINED
1) 📊 Multi-Timeframe Dashboard
Monitors up to 8 user-selected timeframes simultaneously
Trend State: Bullish 🚀 / Bearish 🧸 / Overbought 🔥 / Oversold ❄️
Volatility State: High 🌋 / Low 💤 / Normal ⚖️
Volatility Trend: Rising 📈 / Falling 📉 / Stable ➡️
Two visual styles: Pro Neutral (clean) or Semantic Heatmap (color-coded)
AVG row shows overall market bias across all timeframes
2) 🧱 Order Blocks / Buy-Sell Zones
Algorithmic detection of swing-based supply/demand zones
Volume Metrics: Total volume + Buy/Sell % split inside each zone
Midline: Key level within the zone for precision entries
Break Labels: "Break Up" / "Break Down" when zones are invalidated
Exit Markers: Signals when price leaves a zone (Close or Wick trigger)
Smart Filtering: Show nearest only, hide overlaps, limit history
3) 📐 Market Structure (BOS/CHoCH)
BOS (Break of Structure): Trend continuation signal — confirms momentum
CHoCH (Change of Character): Early reversal warning — first sign of regime shift
Derived from pivot highs/lows using configurable sensitivity
Optional candle coloring based on structure bias
4) ☁️ Cloud Bands (Adaptive Envelope)
Smoothed, volatility-aware channel (Keltner-style with enhancements)
Auto Mode: Period adjusts automatically based on your chart timeframe
Manual Mode: Set your own period for full control
Dynamic midline for trend bias assessment
Edge dots highlight when price touches band boundaries
Great for identifying breakouts vs. mean-reversion setups
═════════════════════════════════════════════════════════════════════════
█ USE CASES
📈 Trend Confirmation
Check the MTF Dashboard for alignment. When 6+ timeframes agree (Strong Bullish/Bearish), you have confluence. Use Order Blocks as entry zones in the direction of the trend.
📉 Reversal Hunting
Watch for CHoCH labels — they signal potential regime change before the crowd sees it. Combine with Order Blocks for high-probability reversal entries.
🎯 Precision Entries
Use Order Block midlines as entry targets. When price retraces to the midline of an unbroken zone aligned with higher-TF bias, you have a high-probability setup.
⚡ Volatility Assessment
Cloud Bands show you the current volatility regime. Price outside bands = trending (ride it). Price inside bands = consolidation (fade the edges or wait).
🤖 Alert Automation
Set alerts for zone breaks, BOS/CHoCH events, MTF alignment shifts, or cloud breakouts. React to opportunities even when away from the screen.
═════════════════════════════════════════════════════════════════════════
█ HOW TO USE 🔧
Apply to your chart (any timeframe, any market)
Configure your 8 dashboard timeframes (e.g., 1m/5m/15m/1h/4h/1D/1W/1M)
Watch for MTF alignment — strong alignment = cleaner directional bias
Use Order Blocks as "areas of interest" — prefer zones aligned with HTF bias
Monitor BOS/CHoCH for structure shifts — CHoCH = warning, BOS = confirmation
Use Cloud Bands to assess volatility — outside = trending, inside = ranging
Set alerts for the events that matter to your strategy
═════════════════════════════════════════════════════════════════════════
█ ALERTS 🔔
16+ built-in alert conditions:
Order Blocks: Zone breaks, zone entries, zone exits
Market Structure: Bullish/Bearish BOS, Bullish/Bearish CHoCH
MTF Alignment: Strong bullish/bearish (6+), Full alignment (8/8)
MTF Bias Flip: When average bias crosses bullish/bearish threshold
Cloud Events: Breakout up/down, Midband cross up/down
═════════════════════════════════════════════════════════════════════════
█ WORKS ON
Crypto
Forex
Stocks
Indices
Commodities
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Realistic Expectations:
Order Blocks are algorithmic approximations — not true order flow data
BOS/CHoCH labels update on confirmed swings — some lag is expected
MTF alignment doesn't guarantee direction — it shows current state
Always combine dashboard insights with your own analysis and risk management
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█ LIMITATIONS ⚠️
Order Blocks are derived from swing behavior + volume — not actual institutional order flow
Zones/labels can update on the realtime candle until the swing is confirmed
Performance may slow with max history on low timeframes — reduce settings if needed
MTF data updates on higher-TF bar closes — slight delay is normal
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█ DISCLAIMER 📜
This indicator is provided for educational and informational purposes only and does not constitute financial advice. Trading involves substantial risk of loss, and you are solely responsible for your own trading decisions.
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Gold Scalping MACD ProGold Scalping MACD Pro is a custom-built technical indicator specifically optimized for gold (XAUUSD) scalping. It is based on an advanced adaptation of the classic MACD (Moving Average Convergence Divergence) concept, enhanced to provide faster, clearer, and more reliable signals in highly volatile gold markets.
🔹 Core Purpose
The indicator is designed to:
Capture short-term momentum shifts
Reduce market noise
Improve entry and exit timing during fast price movements
This makes it particularly effective for intraday and scalping strategies.
🔹 Key Features
Enhanced MACD-based momentum calculation for higher sensitivity
Early buy and sell signals during strong momentum phases
Noise filtering to reduce false signals in sideways markets
Optimized for gold’s volatility characteristics
Best performance on lower timeframes (M1, M5, M15)
🔹 How It Works
Gold Scalping MACD Pro analyzes the relationship between fast and slow moving averages, combined with momentum smoothing techniques.
By focusing on momentum strength rather than lagging confirmation, the indicator helps traders:
Identify high-probability scalping opportunities
Confirm short-term trend direction
Avoid weak or low-momentum setups
🔹 Best Use
Gold (XAUUSD) scalping
Momentum-based trading strategies
Trend confirmation on lower timeframes
Used alongside price action, support & resistance, or session timing
⚠️ Risk Disclaimer
Gold Scalping MACD Pro is a technical analysis tool and does not provide trading advice. Trading leveraged instruments such as gold involves significant risk. Proper risk management and confirmation from other analysis methods are strongly recommended.
MACD Master Suite [Kodexius]The MACD Master Suite is an advanced momentum and trend framework that takes the familiar MACD concept and wraps it in a modern, trader oriented environment. Instead of a single line + histogram combination, it turns MACD into a structured decision layer with enhanced visualization, confluence and context.
The engine is built around a MACD style core with refined smoothing and normalization, designed to keep shifts in momentum clear while avoiding the noisy flicker that standard settings often produce. On top of this core, the suite adds multi timeframe confirmation, adaptive histogram behavior, trend and exhaustion mapping, divergence detection and a compact visual dashboard so you can read momentum structure at a glance rather than bar by bar.
The goal is not to create a “magic signal”, but to make MACD behave like a proper momentum map: highlighting when trend strength is building, when a leg is stretching into exhaustion, where momentum is quietly rolling over beneath price, and how different timeframes are lining up before major continuation or reversal moves.
This is not classic everyday MACD. This suite extends the standard MACD through normalization and integrated features, designed to assist in analyzing momentum patterns, identifying potential reversals, and supporting multi timeframe strategies. It processes MACD data into structured outputs for use in various market conditions.
⚠️ Note:
This is not a traditional MACD, it uses normalized values, enhanced visual feedback, and a multi timeframe dashboard engine for superior signal quality and clarity.
🔹 Features
🔸 Enhanced MACD Core
- Custom MACD style oscillator that combines classic fast/slow smoothing with an internal normalization step, keeping the main wave readable even when volatility or scale changes.
- Flexible inputs for source, lengths and smoothing type so you can adapt the engine to different instruments and trading styles.
- Optional histogram + line combination, giving you both bar based impulse and a smoother line for regime changes and crossovers.
- Gradient colored oscillator line that visually shifts from red (weak momentum) through yellow (neutral) to green (strong momentum), providing at a glance regime identification.
🔸 Gradient Zones & Regime Context
- Configurable “overextended” zones around the MACD baseline, shaded with gradient fills rather than only hard lines.
- Visual emphasis on when the MACD engine is building a persistent push in one direction vs simply oscillating around the midline.
- The mid region is kept deliberately clearer so you can quickly distinguish between trending pushes, mean reverting swings and neutral chop.
🔸 MACD Channel & Break Behaviour
- Optional channel overlay built directly on top of the MACD oscillator, using volatility style bands (e.g., Bollinger-type or Keltner-type) in MACD space instead of price space.
- Helps you see when MACD is expanding strongly away from its recent equilibrium versus compressing inside a narrow band.
- Channel touches and pushes beyond the band edges can act as an additional cue for exhaustion type behaviour or strong continuation bursts.
🔸 Reversal Signal Markers
- Swing aware reversal markers that trigger when MACD conditions suggest a possible shift after stretching into your defined zones.
- Signals use the relationship between the MACD wave and its internal smoothing, aiming to highlight turning points that stand out from ordinary noise and try to filter out noise, focusing on confirmed shifts that align with broader market context.
- Markers are drawn on the MACD plot instead of the price chart to keep structure and signals in one place.
🔸 Divergence Mapping (Regular & Hidden, with MTF Dashboard Support)
- Automatic detection of regular bullish/bearish and hidden bullish/bearish divergences between price and the oscillator.
- Separate visibility toggles for each divergence type so you can focus only on the signals that fit your approach.
- "Wait for candle close" option ensures conservative confirmation, reducing false positives in fast moving markets.
🔸 Multi-Timeframe Custom MACD Dashboard
- Compact dashboard that summarizes MACD Engine state over multiple user defined timeframes in a small table.
Per timeframe cells can show:
– whether MACD is sitting in overbought/oversold style zones or in the neutral core,
– presence of recent bullish/bearish reversal signals,
– the current divergence bias (bullish, bearish or none),
– simple channel break information (upside/downside, or quiet).
Timeframe labels are formatted into familiar units (e.g., 15m, 1H, 4H, 1D) and the table is designed to be readable even when collapsed to a small area.
🔸 Oscillator Trendlines & Break Detection
- Automatically draws trendlines directly on the MACD oscillator, using momentum swing pivots instead of only price highs and lows, so you see structure shifts where they actually start in the underlying momentum.
- Lines adapt to bullish or bearish phases and are anchored only to “clean” pivots with minimal internal violations, making sustained impulse legs and corrective phases much easier to distinguish.
- When MACD momentum closes through one of these oscillator trendlines, the break is highlighted with labels, providing an additional structural confirmation layer on top of standard signal line crossovers or histogram flips.
🔸 Alerts
- Integrated alert conditions for MACD based reversals and all four divergence types (regular/hidden, bullish/bearish).
- Designed so you can create alerts directly from the indicator, turning key MACD events into actionable notifications.
- Altogether, MACD Master Suite consolidates multiple momentum tools into one cohesive interface, helping you read the “story” of MACD and its derivatives more intuitively and efficiently.
🔹 How To Use
▶ Reading the Core Momentum Engine
The main line serves as the primary momentum indicator: positions held above the midline suggest a bullish environment, whereas those below indicate a bearish setting. The gradient zones for overbought and oversold areas help identify when momentum is becoming extended or starting to ease back, offering a smoother view compared to rigid thresholds.
The channels provides an extra information for context:
• Momentum pushing toward or beyond the outer edges shows extension based on recent patterns.
• When it stays nearer to the center, it often points to balanced or corrective phases.
The histogram adds further detail to the picture: upward bars in varying green tones reflect positive momentum buildup, while downward bars in red tones show negative shifts. Diminishing bar sizes can hint at upcoming changes in direction, making it useful for spotting transitions.
Overall, focus on how these elements interact sustained positions, zone interactions, and histogram patterns to build a sense of the current momentum flow without overcomplicating the read.
▶ Working With Reversals & Divergences
Reversal markers show up after momentum enters extreme zones and starts to shift, acting as flags for areas where direction might change. They're best used as highlights for further review rather than standalone triggers.
For divergences, the tool examines how price movements align or differ from the momentum line:
• Regular types (bullish or bearish) point out possible weakening when price hits new levels but momentum doesn't follow suit.
• Hidden types (bullish or bearish) suggest ongoing trends when price retraces but momentum holds its ground.
Customize by selecting which divergences to show and opting for confirmation only after bars close this reduces clutter and promotes a steadier perspective. Experiment with these settings to match your preferred level of detail, such as enabling all types for in depth scans or limiting to regulars for simpler overviews.
In practice, combine reversals with divergences for layered insights: a reversal marker near a divergence line could strengthen the case for monitoring that area closely.
▶ Reading the Multi-Timeframe Dashboard
This dashboard packs insights from various timeframes into a compact table, allowing quick checks of alignment without switching views. Columns represent each timeframe you select, while rows cover aspects like divergence types, extreme states, general signals, and channel interactions.
A straightforward method is to:
• Look for consistency, such as matching patterns across higher frames signaling a unified trend.
• Spot differences, like shorter frames showing pullbacks while longer ones stay in extremes, which might indicate temporary adjustments.
• Use color cues greens for positive leans, reds for negative to get an at a glance feel before diving deeper.
Treat it as a quick reference tool: before focusing on a specific chart, scan the dashboard to see if broader contexts support or contradict your observations, helping refine your approach across scales.
▶ Trendlines, Breaks & Structure
Trendlines are generated from key swings in the momentum line, mapping out bullish or bearish patterns directly on the panel. This helps visualize hidden structures in momentum that might not be obvious from price alone.
Upward sloping lines often align with building positivity, downward ones with negativity. Breaks in these lines, marked on the display, can indicate when an established pattern is giving way to something different.
It's common to leave this feature disabled for routine checks and activate it for deeper examinations, such as during volatile periods or when confirming longer term shifts.
To get the most out, observe how trendlines evolve over time persistent lines might reinforce a regime, while frequent breaks could signal choppy or transitional conditions, adding another dimension to your momentum assessment.
Infinity Algo Backtest═════════════════════════════════════════════════════════════════════════
█ THE PROBLEM
Most trading strategies fail because they rely on static settings that break when market conditions change. Traders spend hours manually optimizing parameters — only to see them underperform in live markets. Backtesting becomes guesswork instead of science.
█ THE SOLUTION
Infinity Algo V3.0 Backtest solves this with Auto-Tune — an optimization engine that runs 500+ parameter simulations in the background and selects the best configuration for your specific market, automatically.
Combined with multi-mode entry engines, flexible exit management, and adaptive risk controls — this is a complete backtesting system trusted by 8,000+ traders worldwide.
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█ KEY FEATURES
✅ 5 Entry Modes: Normal, Smart, AI, HL Sniper, AI Sniper
✅ 3 Exit Modes: Percentage targets, Signal step-outs, Opposite signal flip
✅ 6 Take-Profit Levels with customizable partial position sizing
✅ Trailing Stop-Loss (None / Breakeven / Moving Target)
✅ Auto-Tune Optimization (Walk-Forward or Static)
✅ Pyramiding support for add-on entries
✅ Structured alert payloads for webhook automation
✅ Works on any market: Crypto, Forex, Stocks, Indices, Commodities
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█ WHAT MAKES INFINITY ALGO DIFFERENT
🧠 Auto-Tune Engine (The Core Innovation)
Unlike static strategies, Infinity Algo continuously backtests parameter combinations and surfaces the optimal settings for your current asset. Choose from 12 scoring metrics including Sharpe Ratio, Sortino Ratio, Profit Factor, and Win Rate.
🎯 Multi-Mode Entry System
Switch between trend-following, contrarian, and sniper modes — all within one strategy. No need to maintain multiple scripts.
🛡️ Adaptive Risk Management
Trailing SL modes that respond to your TP hits:
Breakeven: Locks in safety after your chosen TP is reached
Moving Target: Ratchets your stop to the previous TP level as profit grows
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█ ENTRY ENGINES 🎯
Normal + Smart (Default)
Normal: Contrarian entries — momentum cross against the trend filter for reversal plays
Smart: Trend-following entries — momentum cross with the trend filter for continuation plays
AI / Auto-Tune
Automated parameter selection based on historical simulation
Walk-Forward: Re-optimizes every N bars to adapt to regime changes
Static: Locks in the best settings from full history
HL Sniper
Trend-trigger mode for selective, high-conviction entries
Fewer signals, but higher probability setups
AI Sniper
Auto-Tune optimizes the Sniper configuration specifically for your market
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█ EXIT MODES 🚪
1) Percentage Targets
Up to 6 TP levels (TP1…TP6) with customizable partial exits
Configure both price distance (%) and position size (%) for each level
Designed for scaling out rather than all-in/all-out
2) Signal Step-Outs
Momentum-shift condition triggers partial exits
Optional higher-timeframe confirmation
"New TP Must Beat Last" prevents weak consecutive exits
3) Opposite Signal
Closes/flips position when the next opposite entry signal appears
Best for trend-following systems
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█ USE CASES
📈 Trending Markets
Use "Smart" signals + Percentage TPs. Stay aligned with momentum while scaling out at multiple targets. Enable Moving Target trailing to lock in profits.
📉 Ranging / Choppy Markets
Use "Normal" signals (contrarian mode). Catch reversals at range boundaries. Tighter TP targets work better here.
⚡ High Volatility / News Events
Use "HL Sniper" for selective entries. Fewer signals, higher conviction. Wider SL to avoid stop hunts.
🤖 Automation & Bots
Structured alert payloads work with 3Commas, Alertatron, Cornix, TradingConnector, and custom webhooks. One alert contains Entry + 6 TPs + SL.
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█ HOW TO USE 🔧
Apply to your chart (any timeframe, any market)
Start with Entry Signals = "Normal + Smart", Exit Mode = "Percentage"
Pick your direction (Long / Short / Both)
Adjust signal thresholds and trend filter length to match your style
Configure TP% levels and Qty% — total should sum to 100%
Enable Stop-Loss and choose a trailing mode
Set commission and slippage in Strategy Properties for realistic results
Optional: Enable Auto-Tune for adaptive optimization
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█ STRATEGY PROPERTIES 📊
Default settings for reproducible backtests:
Initial capital: 10,000 USD
Order size type: Cash
Default order size: 10,000
Process orders on close: Enabled
Pyramiding: Controlled by "Allow Add-On Entries"
For realistic results, set commission and slippage in Strategy Properties to match your broker/exchange.
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█ ALERTS & AUTOMATION 🔔
The strategy outputs structured alert payloads compatible with:
3Commas, Alertatron, Cornix, TradingConnector, Wunderbit
Custom webhook receivers (JSON format)
Setup: Create alert → Select "Order fills and alert() function calls" → Use {{strategy.order.alert_message}} placeholder
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█ WORKS ON
Crypto
Forex
Stocks
Indices
Commodities
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█ OUR PHILOSOPHY 💡
We believe success lies in the trader, not the indicator. Infinity Algo is a decision-support tool — not a crystal ball.
Realistic Expectations:
No strategy wins 100% of the time — Infinity Algo is no exception
Auto-Tune optimizes on past data — it cannot predict the future
Backtest results ≠ live results (fees, slippage, and emotions matter)
Always validate with out-of-sample data before going live
Use proper position sizing and risk management
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█ LIMITATIONS ⚠️
Backtests are simulations — results depend on market conditions, fees, slippage, and parameters
Auto-Tune can overfit if used without out-of-sample validation
Multi-timeframe exit logic confirms on higher-TF bar closes (slight delay expected)
Use standard candles/bars for strategy testing (avoid Heikin Ashi, Renko)
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█ DISCLAIMER 📜
This strategy is provided for educational and informational purposes only and does not constitute financial advice. Past performance is not indicative of future results. Trading involves substantial risk of loss, and you are solely responsible for your own trading decisions.
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