PURPOSE OF THE INDICATOR This indicator autogenerates and displays naked levels and gaps of multiple types collected into one simple and easy to use indicator. VALUE PROPOSITION OF THE INDICATOR AND HOW IT IS ORIGINAL AND USEFUL 1) CONVENIENCE : The purpose of this indicator is to offer traders with one coherent and robust indicator providing useful,...
### Detailed Description of the Script #### **Title:** "**Bullish and Bearish Engulfing with Conditional Rays and Wick Markers**" #### **Purpose:** This Pine Script indicator identifies and marks **bullish and bearish engulfing candle patterns** on a price chart. Additionally, it plots **two rays** (lines) for each detected pattern: one at the wick's extremity...
The Prometheus Volatility EMA is an indicator that calculates an Exponential Moving Average with the historical volatility as how we decide how sensitive to make the indicator to the most recent data. A traditional EMA is calculated like this: EMA = alpha * source + (1 - alpha) * EMA , where alpha = 2 / (length + 1) Sourced from TradingView’s ta.ema built in...
Explanation: Inputs: equitySymbol: The symbol for the equity index (default is "SPY" for the S&P 500 ETF). bondSymbol: The symbol for the bond market (default is "TLT" for the 20+ Year Treasury Bond ETF). Fetch Data: equityClose and bondClose retrieve the daily closing prices for the specified equity and bond symbols. Relative Spread Calculation: The relative...
The volatility adjusted relative strength indicator offers a more precise approach to traditional RS indicators by incorporating volatility adjustments into its calculations. This will provide traders with a more nuanced view of relative performance between a selected instrument and a comparison index. Identifying Relative Strength (RS) and Weakness (RW) against...
1. indicator settings BB Length: Sets the period used for the Bollinger Band calculation. The default is 20 periods. BB Multiplier: Sets the multiplier to be used in the Bollinger Band calculation. The default is 2.5 multiplier. Equilibrium volume reset: Selects whether or not the volume should be reset if it is out of equilibrium. The default setting is reset....
Indicator Name: "5-9-20-100 Day EMA" Purpose: This indicator plots four key EMAs (5, 9, 20, and 100-day) on a daily chart, providing a clear visualization of both short-term and long-term trends. The EMAs serve as critical triggers for identifying potential entry and exit points based on price interactions with these moving averages. Technical Details: Version:...
Future Standard Deviation Projector This innovative indicator projects price volatility into the future, helping traders anticipate potential price ranges and breakouts. It calculates standard deviation bands based on recent price action and extends them forward, providing a unique perspective on future price movement possibilities. Key Features: - Projects...
For a strategy using the combined IMI (Intraday Momentum Index), MFI (Money Flow Index), and Bollinger Bands on a 1-minute chart of Bank NIFTY (Bank Nifty Index), here's how you can interpret the indicators and define a sell signal strategy: Strategy Explanation: IMI (Intraday Momentum Index): IMI measures the ratio of upward price changes to downward price...
This script calculates the Compound Annual Growth Rate (CAGR) over a 10-year period or the maximum available historical data for any asset. The calculated growth rate is displayed as a label on the last bar of the chart. Ideal for investors and analysts, this tool helps you easily visualize and assess the long-term growth potential of your investments, providing...
A T-wave might describe a pattern where the price movement forms a "T" shape on the chart, which could involve: Strong Vertical Movement (The Stem of the T): This could represent a sharp, decisive move in one direction (up or down), often occurring in a single candle or a few candles. This movement could be seen as the "stem" of the T. For example, a sudden...
Overview The High-Low of X Bar indicator allows traders to visualize historical high and low values from a specific number of bars ago directly on the chart. Provides insight into past price action by displaying high, low, and their difference at the most recent bar. Customizable inputs and color settings for labels enhance usability and visual...
Envelope with Kernel Selection Indicator Overview The "Envelope with Kernel Selection " is a versatile technical analysis tool designed to help traders identify market trends and trading signals. This indicator allows traders to spot signals in two primary ways: through the plotshape markers, which indicate specific price crossovers, and via the background...
This is a tool for developers who are working with index based plots and find themselves adding the bar_index to their indicators on a regular basis during development and debugging. What it does: shows the bar_index in the status line and data window. plots optional labels (bar index + time) into the chart every 10 bars
Hello traders 👋 This indicator "SPX Mapped Gaps" detects gaps from the SPX (or the trader's choice of index/asset) and plots them for the asset on your chart! Features Selectable comparison symbol Gaps from the selected symbol (SPX by default) are plotted for the asset on your chart - serving as potential support/resistance levels! Closest gaps from...
This script provides a visual representation of various financial spreads along with their Simple Moving Averages (SMA) in a table format overlayed on the chart. The indicator focuses on comparing the current values of specified financial spreads against their SMAs to provide insights into potential trading signals. Key Components: SMA Length Input: ...
The Sticky Moving Average is a custom indicator designed to provide a unique smoothing effect by combining different moving averages derived from a single base period. This indicator creates a single line on the chart, representing the average of the following three moving averages: 1. X-period Simple Moving Average (SMA): A traditional moving average that...
This indicator builds a support line using the stock price and RSI. Inputs: 1. Time window for the RSI: the time window the RSI is calculated with, usually it's 14 but in here I recommend 30. 2. offset by percentage: just adding or subtructing some percentage of the result, some stocks need a bit of offset to work 3. stability: the higher it is the less the...