Optimal Tracking Filter (OTF)Optimal Tracking Filter
адаптивный цифровой фильтр для отслеживания тренда и сглаживания рыночного шума с минимальной фазовой задержки. Разработан Джоном Эллерсом (John Ehlers) на основе принципов цифровой обработки сигналов — оптимального фильтра Калмана (R.E. Kalman) и оптимизации отклика фильтра под характеристики сигнала.
Adaptive digital filter for trend tracking and smoothing out market noise with minimal phase delay. It was developed by John Ehlers based on the principles of digital signal processing — the optimal Kalman filter (R.E. Kalman) and optimization of the filter response to signal characteristics.
指标和策略
Volatility BarVolatility Bar - Significant Price Movement Alert
This indicator identifies and highlights candles with significant price movements by comparing the current bar's range against historical volatility.
**Key Features:**
- **Orange Bars**: Marks candles with range 135%-175% of the maximum range in the previous N bars (default 4)
- **Red Bars**: Highlights extreme volatility bars exceeding 175% threshold
- **Visual Alerts**: Triangle markers below significant bars for quick identification
- **Background Highlighting**: Optional background coloring for enhanced visibility
- **Statistics Panel**: Real-time display of current range, max historical range, ratio percentage, and alert status
**Use Cases:**
- Identify wide range bars, gap bars, and price expansion patterns
- Spot potential breakout or reversal signals
- Filter out noise while catching meaningful price action
- Alert traders to significant market events requiring attention
**Customizable Parameters:**
- Lookback Period (default: 4 bars)
- Minimum Threshold (default: 135%)
- Maximum Threshold (default: 175%)
**How It Works:**
The indicator calculates the current bar's high-low range and compares it to the highest range among the previous N bars. When the current range exceeds the minimum threshold, it's marked orange. Extreme movements beyond the maximum threshold are marked red, helping you distinguish between normal volatility spikes and extraordinary events.
Perfect for price action traders who want automated alerts for significant market movements without the clutter of false signals.
SignalSquad Lite: SMC Structure Mapper @2026SMC ZONES MAPPER INCLUDING FVG & CHART PATTERNS
Free Lite: Map SMC Structure (Pivots + BOS).
Teaser for Premium SignalSquad (Signals + 75% Wins).
Trial : TELEGRAM @SignalSquad7
CSP Engine v5 (Stable)Production-safe alert architecture
True enable/disable switch
No repainting alerts
Clean CSP execution workflow
Desktop-ready TradingView engine
RW1 Wicket 1.03 (Customer Pro)RW1 Wicket — Z3 Zone + Breakout (Backtest & CRV Compare)
Description:
RW1 Wicket automatically highlights Z3 Fibonacci zones based on an internal swing structure (P2/P3) and displays RW1 long setups with a SET trigger and breakout entry. It also includes a compact stats box to evaluate performance and compare multiple fixed R:R targets (CRV 1.5 / 2.0 / 3.0), optionally separated into Confirmed and Early results.
Features:
Z3 Fibonacci zone box (with optional ZigZag / P2-P3 labels)
SET marker when price triggers inside the zone
RW1 breakout entry above the zone top
Optional Early/Risk entry mode (if enabled)
On-chart stats box: trades, W/L, win rate, and CRV comparison (best CRV by EV)
Disclaimer:
This script is for analysis and educational purposes only and is not financial advice. Backtest results are not a guarantee of future performance. Internal swing parameters are intentionally not exposed as tuning inputs.
SMART HTF LEVELS,(Real PDH / PDL / PWH / PWL / PMH / PML + 50%)🚀 SMART HTF LEVELS – PDH / PDL / PWH / PWL / PMH / PML + 50% MIDPOINTS
This script plots key higher-timeframe support & resistance levels using Previous Day, Week, and Month Highs & Lows, enhanced with 50% equilibrium midpoints for precise price reactions.
🔹 KEY FEATURES
✅ Previous Day High / Low (PDH / PDL)
✅ Previous Week High / Low (PWH / PWL)
✅ Previous Month High / Low (PMH / PML)
✅ 50% Midpoint Levels (PDM / PWM / PMM) – Equilibrium zones
🎨 VISUAL STYLE (Clean & Professional)
🟢 High Levels → Green (Resistance)
🔴 Low Levels → Red (Support)
⚪ 50% Midpoints → Grey dotted step-line
📉 Step-Line Style for institutional clarity
⏱ Lines break only on new Day / Week / Month (no clutter)
🧠 WHY THESE LEVELS WORK
Markets respect previous highs & lows because they represent:
Liquidity pools
Institutional order zones
Stop-loss & breakout areas
The 50% midpoint acts as a:
Balance / equilibrium zone
Reaction & continuation level
High-probability decision area
Together, these levels naturally behave as dynamic Support & Resistance.
📈 BEST USE CASES
✔ Intraday & Swing trading
✔ Break & Retest strategies
✔ Rejection trades at key levels
✔ Target & Stop-loss planning
✔ Works with Price Action, EMA, VWAP, RSI, SMC
Trend Highway (Manual Edition)Trend Highway (Manual Edition)
All-in-One Trend Following System with Smart Filter Logic
This indicator is a comprehensive trading system designed for Manual Traders who seek precision and reduced noise. It merges the power of Trend Highway, Smart Money Concepts (Order Blocks & Market Structure), and Moving Averages into a single, clean chart interface.
⚠️ Note: This is the "Manual Edition". All bot automation codes (BingX/Telegram) have been removed to ensure a lightweight and fast performance.
Key Features (ฟีเจอร์หลัก)
1. Trend Highway Core (ถนนเทรนด์)
Visualizes the trend direction using a dynamic ribbon.
🟢 Green/Orange: Bullish Trend (ขาขึ้น)
🔴 Red/Yellow: Bearish Trend (ขาลง)
2. Smart Chop Filter (ระบบกรองไซด์เวย์ขั้นสูง) 🧠 This is the heart of the system. It prevents "False Breakouts" by enforcing a strict momentum sequence before signaling an entry:
Step 1 (Rest): The Chop Index (CI) must first rise above 61.8. This indicates the market is resting or consolidating (creating "Potential Energy").
Step 2 (Run): The CI must then drop below 50. This confirms the consolidation is over and a true momentum breakout is occurring (releasing "Kinetic Energy").
Result: You only trade when the market has "rested enough" and is ready to run.
3. Strategic Entry & Add-On (ระบบเข้าออเดอร์)
First Entry: Signals when a trend reversal is confirmed with valid momentum.
Add-On (Add+): Allows you to compound positions safely. The system only suggests adding to a winner if the price pulls back, consolidates (triggers the 61.8 memory), and breaks out again.
4. Hybrid Exit Strategy (ระบบปิดทำกำไร) 🛡️ Exits are dynamic and adapt to market conditions:
Unified SL: Trailing Stop Loss calculated from consolidation structures.
CHoCH Exit: Immediately signals an exit if a Change of Character (Trend Structure Shift) occurs against your position.
5. Institutional Context
Order Blocks (OB): Auto-detects high-probability Supply & Demand zones.
Market Structure: Real-time labeling of BOS (Break of Structure) and CHoCH (Change of Character).
EMAs: Includes EMA 50 & 200 for macro trend identification.
How to Trade (วิธีการใช้งาน)
🟢 LONG Setup:
Trend Highway turns Green.
Price is above EMA 200 (Optional but recommended).
Wait for Alert: "Open LONG" signal appears (Confirmed by CI Filter < 50).
Stop Loss: Place at the red "Unified SL" cross or the recent swing low.
🔴 SHORT Setup:
Trend Highway turns Red.
Price is below EMA 200 (Optional but recommended).
Wait for Alert: "Open SHORT" signal appears (Confirmed by CI Filter < 50).
Stop Loss: Place at the red "Unified SL" cross or the recent swing high.
🏁 EXIT Strategy:
Close the position immediately when you receive a "Close LONG/SHORT" alert.
This alert triggers on either a Stop Loss hit OR a structural change (CHoCH), helping you lock in profits before the trend reverses.
Alerts Configuration (การตั้งค่าแจ้งเตือน)
You can set up a single alert to cover all scenarios:
Add Alert on this indicator.
Condition: Select "Trend Highway (Manual Edition)".
Select "Any alert() function call".
You will receive human-readable notifications for:
Open LONG / Add-On Buy 🟢
Open SHORT / Add-On Sell 🔴
Close LONG / SHORT 🏁
Developed by User Request (AomTawan Logic Merged)
EMA 9, 15, 26, 50 and 200EMA 9, 15, 26, 50 and 200 mostly used emas for intraday & positional trading
DFH * Zenith Plan & Execution Radar - MASTER【Chinese is followed 中文在後面】
DFH * Zenith Plan & Execution Radar – MASTER is a multi-layer market decision framework,
designed to separate “planning” from “execution” and to make each stage observable,
auditable, and risk-aware.
This script is NOT a simple mashup of common indicators. While it internally uses classic market elements (EMA, RSI, volatility, structure), they are not presented as standalone signals. Instead, they are integrated into a staged decision engine with explicit permission gates, priority-based failure diagnostics, and timeframe-aware execution logic.
CORE DESIGN PHILOSOPHY:
• Planning answers: “Should I be biased LONG or SHORT?”
• Execution answers: “Is this the correct moment to act?”
• Failure answers: “Why did a valid setup NOT execute?”
UNIQUE ELEMENTS:
• Plan vs Execution separation (Daily / 15m planning, 2m execution)
• Institutional-style permission system (ENV → ARM → GO)
• Priority-based FAIL analysis (PERMIT / DIR / CD / GATE / BH)
• Persistent last-bar HUD showing current market readiness
• Timeframe-aware logic (GO@2m clearly distinguished on higher charts)
• Replay-friendly visual diagnostics (ARM → GO → FAIL)
WHY CLOSED-SOURCE:
The value of this script lies in its decision architecture and execution control logic,
not in individual indicator formulas.
The closed source protects the structure of this framework while still allowing traders
to clearly understand what each state represents and how decisions are made.
HOW TO USE (HIGH LEVEL):
• Use Daily / 15m charts for PLAN signals and bias evaluation
• Use 2-minute chart for EXEC signals only
• Dashboard and HUD explain “what to do” and “why not” at all times
This script is intended for discretionary traders who value clarity, structure,
and disciplined execution over signal quantity.
============================================================
中文说明
============================================================
DFH * Zenith Plan & Execution Radar – MASTER 是一套「分层式市场决策系统」,其核心目标是将“计划(Plan)”与“执行(Execution)”严格分离,并让每一个阶段都可以被观察、被验证、被追责。
这不是一个简单拼接 EMA / RSI / 均线 的指标。虽然内部使用了经典市场要素,但它们并不作为独立信号存在,而是被组织进一套完整的【决策许可 + 执行门控 + 失败诊断】体系中。
设计核心思想:
• Plan:回答“当前是否具备做多 / 做空的战略条件?”
• Execute:回答“现在是不是正确的执行时机?”
• Fail:回答“为什么一个看似成立的机会没有执行?”
系统独特之处:
• 计划与执行严格分离(D / 15m 规划,2m 执行)
• 类机构级的执行许可系统(ENV → ARM → GO)
• 失败原因优先级系统(PERMIT / DIR / CD / GATE / BH)
• Last-Bar 状态 HUD(始终显示当前市场阶段)
• 多周期感知(GO@2m 在高周期明确标注)
• 支持 Replay 回放的可视化诊断设计
为何采用闭源:
本指标的核心价值在于“决策结构”与“执行控制逻辑”,而非单一指标计算公式。闭源用于保护系统架构,同时已在界面与状态层面充分向用户解释每一步在做什么、为何如此。
使用建议(概览):
• 日线 / 15 分钟:用于计划与方向判断
• 2 分钟图:仅用于执行信号
• Dashboard 与 HUD 持续回答“现在该做什么 / 为什么不能做”
本系统适合重视结构、纪律与执行质量的交易者,而非追求大量信号的交易方式。
SolQuant Liquidation LevelsOVERVIEW
The SolQuant Liquidation Levels indicator provides a comprehensive visualization of potential liquidation zones for leveraged positions ranging from 10x to 200x. By analyzing volume, open interest (OI), and cumulative volume delta (CVD), it identifies high-concurrency activity zones where market participants may face forced closures.
KEY FEATURES
Multi-Leverage Analysis: Tracks estimated liquidation prices for 10x, 25x, 50x, 100x, and 200x leverage tiers.
Dynamic Liquidity Profile: Includes a volume profile that displays the distribution of unclaimed liquidity across price levels.
Smart Consolidation: Automatically merges nearby levels into high-density zones to reduce chart clutter and highlight major interest areas.
Liquidity Boxes & Range Lines: Visualizes liquidity blocks near current price and draws smoothed range lines to define high/low boundaries.
Integrated Signals: Labels trigger when price interacts with critical high-leverage (200x) zones, signaling potential liquidity sweeps.
HOW IT WORKS
The script calculates liquidation levels based on a selected reference price. It filters these levels by volatility thresholds, plotting lines only when a significant volume or OI spike occurs. As price moves, the indicator tracks which levels are "filled" (hit by price) and removes or hides them to maintain focus on remaining liquidity.
DISCLAIMER
This script is for educational and analytical purposes only. It uses mathematical estimates for liquidation levels based on standard leverage calculations and does not represent actual exchange order books. Please manage your risk accordingly.
Colour Grading Candles Simple Color Grading
It sometimes lags, but don't let that stop you — it's actually super helpful.
Test it out and decide for yourself!
Ghost Shadow [Bit2Billions]📌 Ghost Shadow — MACD Percentile Momentum Engine
Ghost Shadow is a closed-source momentum indicator built around a non-standard MACD normalization method designed to solve a core limitation of traditional MACD tools: raw MACD values are not comparable across markets, timeframes, or volatility regimes.
Standard MACD relies on absolute histogram and signal values. This causes momentum readings to vary widely between instruments, making overextension, divergence, and exhaustion difficult to interpret consistently.
Ghost Shadow replaces raw MACD interpretation with a percentile-ranked MACD distribution model, allowing momentum to be evaluated relative to its own historical behavior, not fixed or absolute values.
📌 Core Calculation Method (Non-Standard MACD Logic)
Instead of using raw MACD values directly, Ghost Shadow applies:
* Rolling MACD distribution analysis
* Percentile ranking of MACD and signal values
* Volatility-aware normalization of momentum extremes
This means:
* Momentum strength is measured by how extreme current MACD behavior is relative to its own history
* Overextension and compression are defined statistically, not visually
* MACD behavior becomes consistent across assets and timeframes
This calculation approach cannot be reproduced using built-in MACD alone, which provides no percentile context or distribution awareness.
📌 Reason for Mashup (Why Multiple Components Exist)
Ghost Shadow combines MACD structure, divergence analysis, stochastic confirmation, and candle pressure because percentile-normalized momentum must be validated structurally.
Percentile MACD alone defines momentum intensity, but:
* Divergence defines momentum failure
* Stochastic defines short-term pressure alignment
* Candle structure defines acceptance or rejection
* Supply/demand pressure defines directional follow-through
All components exist to interpret percentile MACD behavior, not to operate independently.
This is not a convenience mashup — it is a single momentum model expressed through multiple validations.
📌 How the Components Work Together
All modules reference the same percentile-normalized MACD state:
1. Percentile MACD Core evaluates momentum strength relative to historical MACD distribution.
2. MACD Structure & Swing Engine defines momentum swings using normalized MACD behavior instead of raw crossings.
3. Divergence Engine compares price swings against percentile-ranked MACD swings using past-data pivots only (non-repainting).
4. Stochastic Momentum Layer confirms short-term pressure relative to percentile MACD regime.
5. Candle Pressure & Supply/Demand Context validates whether percentile extremes are being accepted or rejected.
6. Dashboard Layer summarizes all internal states into a contextual momentum bias.
Because every component references the same normalized MACD logic, signals confirm or invalidate each other instead of conflicting.
📌 What Problem This Script Solves
Ghost Shadow is designed for traders who struggle with:
* MACD behaving differently across markets
* No clear definition of MACD overextension
* Divergences appearing inconsistently
* Momentum tools contradicting each other
* Chart clutter from stacking multiple oscillators
By using percentile-normalized MACD logic, Ghost Shadow provides:
* Consistent momentum interpretation
* Statistically defined exhaustion and expansion
* Structural divergence validation
* Clear momentum context without indicator overlap
📌 How Traders Use Ghost Shadow
Ghost Shadow is not an automated signal tool.
Traders use it to:
* Evaluate momentum expansion vs exhaustion
* Identify statistically significant MACD extremes
* Confirm divergence quality
* Align momentum across timeframes
* Filter continuation vs pullback conditions
All outputs are designed for contextual decision-making, not entries.
📌 Why This Script Is Original
Ghost Shadow does not modify MACD visually — it redefines how MACD is interpreted.
Originality comes from:
* Percentile-based MACD evaluation
* Distribution-aware momentum logic
* Structural divergence validation
* Unified momentum state shared across all modules
This approach cannot be achieved by combining public MACD indicators or built-in tools.
📌 Why This Script Is Invite-Only
Ghost Shadow is offered as a closed-source script because its value lies in the normalization and distribution logic, not the visual elements.
It replaces:
* Multiple MACD variants
* Standalone divergence scripts
* Manual momentum interpretation
* Multi-timeframe MACD comparison tools
This level of consistency and normalization requires proprietary logic and is therefore provided as an invite-only indicator.
📌 Key Features
• Normalized Adaptive MACD
Percentage-based MACD with dynamic overbought/oversold shading for stable momentum context across assets.
• Heikin-Ashi MACD Candles
Smooth, noise-reduced candle representation for clearer swing identification.
• Stochastic Candles & Signals
OB/OS highlights, adaptive zone shifts, and real-time divergence detection.
• Divergence Engine
Flexible detection of:
* Regular Divergence (bull & bear – dashed lines)
* Hidden Divergence (bull & bear – dotted lines)
* Live developing divergences using past-data only (no lookahead)
• Multi-Module Dashboard
A structured overview of everything happening on the chart in one place.
📌 Dashboard Metrics
📌 MACD Bias
Directional momentum & trend strength from the normalized MACD engine.
📌 Stochastic Bias
Short-term momentum read with OB/OS sensitivity.
📌 Candle Pattern Detection (70+ patterns)
Doji, Morning/Evening Star, Shooting Star, Hammer, Bearish/Bullish Engulfing, Harami, Piercing Line, Hanging Man, Spinning Top, Dark Cloud Cover, Raindrop/Doji, Tweezer Top/Bottom, Tower patterns, Inside/Outside Bar, Three Line Strike, Three White Soldiers, Three Black Crows, Marubozu, Tasuki patterns, Rising/Falling Three Methods — and many more.
📌 Body/Wick/Volume Ratios
Automatic interpretation of candle sentiment through proportional body/wick/volume analysis.
📌 Demand & Supply Strength
Real-time scoring of active candle pressure and MA-based supply/demand bias.
📌 Directional Bias
Aggregated long/short *lean* using combined momentum, divergence, and structure inputs.
*This is a contextual bias, not an automated signal.*
Higher-Timeframe Metrics
* HTF Trap Levels & Scoring
* HTF Volume Conditions
* HTF Price Action Alignment
* Quick HTF Bias Reads
📌 Market Summary
Consolidated sentiment, structure, and volatility status into one panel.
🔹 How Modules Work Together (Conceptual Overview)
Ghost Shadow uses a structured pipeline:
1. Normalized MACD builds the base momentum landscape.
2. Swing Structure is read internally to anchor divergences and zone shifts.
3. Divergence Engine compares MACD/Stoch swings vs price swings using past pivots only.
4. Adaptive OB/OS Zones adjust to volatility using dynamic scaling.
5. Dashboard aggregates all module outputs into a unified directional lean for interpretation.
This ensures each module references the same internal logic rather than acting as separate uncorrelated tools.
📌 Visual Design & Chart Clarity
* Only essential real-time labels shown.
* All historical/replayed labels disabled to maintain chart cleanliness.
* Consistent color-coded visuals for divergence, momentum zones, and pattern signals.
* Shapes, line-styles, and colors remain organized for fast interpretation.
📌 Divergence Lines
* Regular Divergence: Dashed Green/Red
* Hidden Divergence: Dotted Green/Red
📌 Inputs & Settings
* Clean layout with simple Show/Hide toggles
* Pre-configured defaults
* Minimal exposed fields for ease of use
* Designed to reduce setup time and improve workflow speed
📌 Recommended Timeframes & Markets
* Best on 15m, 1H, 4H, Daily, Weekly
* Works across forex, crypto, indices, commodities, equities
* Pivot-based structures may show noise on illiquid assets
📌 Performance & Limitations
* Heavy modules may draw many objects → disable unused sections
* If the chart stops loading objects, simply refresh
* All TradingView platform limitations handled internally
📌 License & Legal
* Proprietary © 2025
* Redistribution, resale, or sharing of internals is prohibited
* Independently developed; uses only public-domain trading concepts
* Any resemblance to other tools is coincidental and concept-based only
📌 Respect & Transparency
* Built fully on public, widely known trading concepts
* No code reused or copied; all logic developed independently
* If any similarity is noticed, it can be addressed constructively
📌 Disclaimer
* For education and analysis only
* Not financial advice
* Market risk is real — always backtest and manage risk properly
📌 FAQs
* Source code is not public
* Works best on 15m, 1H, 4H, Daily, Weekly
* All modules individually toggleable
* Alerts can be set manually
* Compatible with forex, crypto, indices, commodities, and equities
📌 About Ghost Trading Suite
Author: BIT2BILLIONS
Project: Ghost Trading Suite © 2025
Indicators: Ghost Matrix, Ghost Protocol, Ghost Cipher, Ghost Shadow
Strategies: Ghost Robo, Ghost Robo Plus
Pine Version: V6
The Ghost Trading Suite is designed to simplify and automate many aspects of chart analysis. It helps traders identify market structure, divergences, support and resistance levels, and momentum efficiently, reducing manual charting time.
The suite includes several integrated tools — such as Ghost Matrix, Ghost Protocol, Ghost Cipher, Ghost Shadow, Ghost Robo, and Ghost Robo Plus — each combining analytical modules for enhanced clarity in trend direction, volatility, pivot detection, and momentum tracking.
Together, these tools form a cohesive framework that assists in visualizing market behavior, measuring momentum, detecting pivots, and analyzing price structure effectively.
This project focuses on providing adaptable and professional-grade tools that turn complex market data into clear, actionable insights for technical analysis.
Crafted with 💖 by BIT2BILLIONS for Traders. That's All Folks!
📌 Changelog
v1.0 – Core Release
* Introduced Normalized Adaptive MACD with percentage-based zones and overbought/oversold shading.
* Added Heikin-Ashi style MACD candles for smoother swing visualization.
* Implemented Stochastic Candles with dynamic zones and divergence detection.
* Added Real-Time Divergence Engine for MACD and Stochastic (regular, hidden, live).
* Integrated Automated Candle Pattern Recognition with 70+ patterns.
* Added Body/Wick/Volume Ratio Metrics for long/short market analysis.
* Implemented Demand & Supply Strength Analysis (current candle & moving average-based).
* Added Directional Predictions for long and short positions.
* Developed Higher-Timeframe Analysis Modules with traps, volume, alignment, and quick signals.
* Added Comprehensive Dashboard summarizing momentum, patterns, HTF traps, and actionable market status.
Institutional Zones MTF5 - Flow and Volume Confirmation📌 Description
Institutional Zones MTF5 — Flow & Execution with Volume Confirmation
is a multi-timeframe institutional zone indicator designed to identify, validate and monitor high-probability Supply & Demand zones across multiple timeframes.
This script focuses on institutional price delivery, combining zone formation, mitigation tracking, multi-TF flow alignment and volume-based absorption confirmation to help traders evaluate where price interaction is meaningful.
🔍 How zones are detected
Zones are generated using an impulse-based displacement logic:
A strong impulsive candle (body ≥ ATR × multiplier) defines displacement
The last opposite candle prior to the impulse becomes the institutional zone
Zones are mapped and tracked across up to five timeframes simultaneously
Each zone is extended forward in time and dynamically monitored as price interacts with it.
🧠 Originality & Key Concepts
This indicator is not a basic Supply & Demand tool.
It introduces a layered logic architecture designed to reduce noise and highlight execution-grade interactions.
Key concepts include:
Mitigation tracking (X%)
Zones are visually marked as mitigated once price reaches a configurable percentage of the zone.
Overshoot-based invalidation
Zones are only deleted when price exceeds a configurable overshoot threshold (e.g. 110%), avoiding premature removal.
FLOW logic (formation near or inside parent zones)
Detects when a lower-timeframe zone forms close to or inside a higher-timeframe zone, suggesting alignment between timeframes.
EXECUTION logic (child inside parent + price interaction)
Execution alerts are triggered only when:
A child zone is located inside (or overlapping) its mapped parent zone
Price reaches or enters the parent zone
Volume confirmation (absorption filter)
Alerts can be filtered by volume expansion relative to a moving average, helping confirm real participation instead of weak reactions.
Cooldown system
Prevents alert spam during consolidations or clustered zone interactions.
This script was fully redesigned and restructured, introducing advanced interaction logic rather than simple zone plotting.
▶️ How to use
The indicator can be used in three complementary ways:
1️⃣ Proximity Alerts
Highlight moments when price approaches or enters institutional zones, optionally confirmed by volume.
2️⃣ FLOW Alerts
Signal when lower-timeframe zones form near or inside higher-timeframe zones, helping identify multi-TF alignment and directional bias.
3️⃣ EXECUTION Alerts
Execution-grade alerts occur only when structural and price-location conditions align, offering refined timing rather than blind signals.
📘 Practical Examples (Conceptual)
Example 1 — Proximity + Volume
If price approaches a higher-timeframe institutional zone and volume expands above its average, this may indicate active participation or absorption at that level.
This highlights an area of interest, not an automatic entry.
Example 2 — FLOW alignment
When a lower-timeframe zone forms near or inside a higher-timeframe zone, it suggests alignment between timeframes and may help confirm continuation or contextual bias.
Example 3 — EXECUTION scenario
An EXEC alert occurs only when:
A child zone is inside (or overlapping) its parent zone
Price reaches the parent zone
Optional volume confirmation is present
These conditions are designed to filter random reactions and focus on execution-quality interactions.
⚙️ Key Inputs
Impulse ATR Multiplier — displacement strength
Mitigation Percentage — when zones become mitigated
Overshoot Multiplier — zone invalidation threshold
Proximity Distance (%) — price-to-zone sensitivity
Volume Length & Multiplier — absorption confirmation
Inside / Overlap Mode — execution strictness
All parameters are configurable to adapt to different assets and trading styles.
⚠️ Notes & Limitations
This indicator does not predict market direction
Zones can fail, especially during high-volatility conditions
Best used with proper market context and risk management
Designed as a decision-support tool, not an automated trading system
📎 Disclaimer
This script is provided for educational and analytical purposes only.
It does not constitute financial advice or a recommendation to trade.
Dynamic Ladder Leverage AllocatorOverview This indicator is designed for long-term investors who utilize a "Dual Engine" portfolio strategy—mixing a Safe Asset (e.g., VOO, QQQ) with a Leveraged Risk Asset (e.g., UPRO, TQQQ).
The Ladder Leverage Allocator mathematically calculates the optimal risk exposure based on market drawdowns. Instead of guessing when to "buy the dip," this script provides a systematic, step-by-step roadmap to increasing leverage as the market falls, and decreasing leverage (taking profits) as the market recovers.
How It Works The strategy is based on a "Sticky All-Time High" logic. It tracks the highest close price and calculates the current drawdown percentage.
Fair Weather (Base Mode): When the market is near highs, the indicator suggests a conservative "Base Leverage" (e.g., 25% or 35%).
The Ladder Down (Risk On): For every defined step the market drops (e.g., every -5%), the indicator signals a "RISK UP" alert, increasing your target allocation to the leveraged asset. This forces you to buy low aggressively.
The Cap: The script includes a hard "Max Leverage Cap" (default 80%) to prevent total account exposure during catastrophic crashes.
The Recovery Reset (Risk Off): Unlike simple rebalancing, this script waits for a confirmed bounce (Recovery Trigger). Once the market recovers by a set percentage from the bottom, it signals a "RESET," telling you to return to Base Leverage. This effectively locks in the profits from the dip-buying phase.
Key Features
Sticky ATH Tracking: Automatically tracks the true drawdown from the cycle peak.
Customizable Ladder Steps: Define your own Drop % (Trigger) and Risk Increase %.
Bar Confirmation: Option to wait for the Daily Close to prevent intraday "fake-out" alerts.
Visual Dashboard: A clean table in the bottom-right corner displays the current Stage, Drawdown, and Target Allocation.
Automated Alerts: Built-in alerts for "Risk On" and "Risk Off" events, ready for automation.
How to Use
Add this indicator to a Daily (1D) chart for your underlying index (e.g., VOO for the S&P 500, QQQ for the Nasdaq).
Configure Inputs:
Base Leverage: Your standard allocation to the 3x ETF (e.g., 25%).
Drop Step: How much the market must fall to trigger a rebalance (e.g., 5%).
Max Cap: The maximum risk you are willing to take (e.g., 80%).
Set Alerts: Create an alert using the "Once Per Bar Close" setting.
Risk Up: Increase your 3x ETF position.
Reset: Decrease your 3x ETF position (sell/profit).
Disclaimer This script is for informational and educational purposes only. Trading leveraged ETFs (3x) involves significant risk and is not suitable for all investors. Past performance of a ladder strategy does not guarantee future results.
Global Market Time Zones (Sydney, Tokyo, London, New York)Display's all relevant Trading Time Zones for Tokyo, Sydney, London and New York.
It automatically adjusts for Winter/Summer time and can be individually turned off/on.
Playbook Regime &Setups PublicPlaybook (Public) is a market-structure and regime framework designed for intraday traders who want clearer context before taking discretionary entries. It classifies conditions as UP / DOWN / RANGE using EMA alignment and trend strength, then highlights breakout and pullback readiness in the direction of the active regime. A simple confidence score and session context are included to help filter lower-quality conditions. Market regime + setup readiness (breakout/pullback) with confidence & session context.
How to use
Start with the Regime (UP/DOWN/RANGE). Prioritize trades aligned with the regime.
Use Ready / Setup status as a qualification layer, not a standalone entry system.
Use Confidence as a filter (higher confidence = stronger trend alignment / separation).
If enabled, VWAP bias can be used as an additional directional filter.
Notes / limitations
Intended for intraday charts and liquid markets.
Signals are evaluated on bar close.
This script is a framework for context and qualification only. It is not financial advice.
HVP Diario CC/CSPThis HVP Daily CC/CSP indicator is designed for traders seeking consistent income through options selling, transforming daily volatility into a clear, objective, and actionable guide: it shows you exactly when NOT to sell options due to weak premiums, when to take advantage of moderate volatility to safely sell PUTs, and when volatility is high enough to sell CALLs with superior returns. Everything is based on a percentile calculation that compares current volatility with its historical behavior, smoothed to eliminate noise and enhanced with an EMA that reveals the true market trend. If you want to trade with discipline, avoid bad weeks, and maximize your weekly income through simple, visual, and precise signals, this indicator is for you.
VWAP Master FlowVMF OPTIMAL VIP + 2 is a gold trading indicator built for discipline and anti-FOMO execution: it helps you read the right market context, highlights confirmed entry opportunities, automatically filters noise and prevents chasing extended moves, and provides clear exit alerts. The goal is to reduce trend-wrong trades, avoid buying tops/selling bottoms, and make fast, clean, consistent decisions on M30.
Calculador NAS100 stef_NQlot size calculator for cfds. Up to 4 types of risk and batches can be managed simultaneously
RSI Scalp Reversion (Buy/Sell Signal)RSI Scalp Reversion (Buy/Sell Signal) - with optional “trend filters”
Buy/Sell signals + optional alert-friendly events for automation via TradingView webhooks.
What it is
RSI Scalping Framework is a mean-reversion scalping framework built around RSI extremes “rubber band” moves. It is not a single magic preset; it’s a testing template that lets traders run the same core RSI idea while selectively adding confirmations to reduce random entries.
Core concept (signal engine)
Markets often stretch short-term and snap back. The script hunts those stretches using RSI:
- Long bias: RSI reaches a user-defined Oversold zone
- Short bias: RSI reaches a user-defined Overbought zone
Traders can choose whether the entry trigger is:
- In-zone (RSI is beyond the level)
- Cross-based (RSI crosses back from the extreme)
Why it’s different / originality
This script is published as a single modular framework rather than many minor variants. The intent is to let traders:
- Toggle filters on/off to see what actually improves results for a symbol/timeframe
- Keep risk logic consistent so comparisons are honest
- Use the same strategy shell while iterating settings
It includes a structured “reality-check” system (trend/momentum/volatility gates) and multiple exit modes so users can compare combinations without swapping scripts.
Filters (“quality knobs”)
Raw RSI can be noisy, especially during trends or low-volatility conditions. This framework lets you layer optional confirmations:
- RSI Smoothing Filter (default ON)
A smoothed RSI (e.g., RSI moving average) is used as a noise-reduction gate so trades prefer cleaner mean-reversion conditions rather than every touch of an extreme.
- ADX Filter (default ON)
A trend-strength gate used to avoid unfavorable regimes (e.g., very strong directional conditions for mean-reversion scalps). Threshold is configurable.
- ATR Volatility Filter (default ON)
A volatility gate to avoid “dead” conditions where scalps often fail due to insufficient movement. Threshold is configurable (ATR relative to price).
- EMA Trend Filter (optional)
Direction filter for users who prefer to align with a higher-level bias (e.g., only take longs above EMA / shorts below EMA).
- MACD Momentum Filter (optional)
Momentum confirmation for users who want RSI signals supported by directional momentum (MACD relationship configurable).
Exits / risk controls
Scalping needs strict, repeatable exits. The script provides:
- Fixed % Stop-Loss (per position)
- Fixed % Take-Profit (per position)
- Optional RSI-based “cool-off” exit (exit when RSI normalizes toward a user-defined level rather than relying only on price)
Buy/Sell signals
Signals & alerts
The script generates clear Buy (Long) and Sell (Short) signals based on the RSI mean-reversion engine (with any enabled filters applied). These signals can be used visually on-chart and as the basis for TradingView alerts.
Webhook automation
Automation / webhooks
This script is compatible with TradingView Alerts and can be used with webhook-based bots/bridges for automation (e.g., sending alert payloads to a third-party execution system). Users can configure alerts for:
- Buy/Long signal
- Sell/Short signal
- Optional exit events (fixed SL/TP behavior is handled by the strategy logic; RSI-based “cool-off” exits can also be alerted if enabled)
Note: Trade execution depends on your external bot/broker integration. Always forward test and validate alert payloads before using live.
How to use
1 - Add the script to your chart and confirm Buy/Sell signals match your intended RSI levels.
2 - Start with the core RSI engine + fixed SL/TP, then enable one filter at a time to evaluate improvements.
3 - Create TradingView alerts from the script’s Buy/Sell conditions.
4 - If you automate: connect alerts via webhook to your bot/bridge and forward test thoroughly (slippage, fees, and execution latency matter).
Best suited for
- Ranging / choppy markets
- Traders who want a structured way to test RSI mean-reversion with optional confirmations
- Traders who want one script that consolidates variations via toggles rather than multiple separate indicators
Notes
- This is an educational/research tool. Past performance does not predict future results.
- Settings are symbol/timeframe dependent.
DE BETONG CRYPTO MARKET STRUCTURE STRATEGY
DE BETONG CRYPTO MARKET STRUCTURE STRATEGY is a professional, education-first market structure indicator designed to help traders identify when market conditions align — without using buy/sell signals.
The script combines higher-timeframe structure, liquidity behavior, and fair value gaps (FVGs) to highlight readiness zones, allowing traders to apply their own execution and risk management rules.
This tool is built for traders who prefer process, context, and discipline over prediction or indicator stacking.
This script does not provide trading signals or automated entries.
Core Features
Higher-timeframe market structure bias
Liquidity sweep (stop-run) detection
Bullish & bearish Fair Value Gap zones
Optional auto-invalidation of mitigated FVGs
Strict readiness filtering to reduce noise
Performance-optimized and non-repainting logic
Recommended Timeframes
Optimized for:
15m
1H
4H
What Makes This Different?
Common Indicators DE BETONG MARKET STRUCTURE STRATEGY
Buy/Sell signals Readiness only (no signals)
Indicator-based logic Price action & structure logic
Frequent triggers Strict filtering & patience
Predictive focus Reaction-based framework
Encourages overtrading Encourages discipline
One-click entries Trader-controlled execution
Intended Use
This indicator is intended to support market analysis and decision-making, not to replace trading judgment.
Traders should wait for their own confirmations and manage risk independently.
Disclaimer
This script is provided for educational and analytical purposes only and does not constitute financial advice or investment recommendations. Trading involves risk.






















