Supertrend + RSI + EMA + MACD - Fixed Single SignalMomentum trading with signals to add alerts and connect to API for Algo tradingPine Script®指标由co_seankarl提供11
SPX 0.5% Move + Volume Filter.5%+ move in SPX in 2 minute candle. Usage for creating an alert for web hook trigger or basic alert.Pine Script®指标由Mateoteo1提供10
Volume Profile - Density of Density [DAFE]Volume Profile - Density of Density The Art & Science of Market Architecture: An AI-Enhanced Volume Profile & Order Flow Engine with a Revolutionary Visualization Core. █ PHILOSOPHY: BEYOND THE PROFILE, INTO THE DENSITY Standard Volume Profile shows you a one-dimensional story: where volume was traded. It shows you the first layer of density. But this is like looking at a galaxy and only seeing the stars, completely missing the gravitational forces, the dark matter, and the nebulae that give it structure. Volume Profile - Density of Density (VP-DoD) is a revolutionary leap forward. It was engineered to analyze the second order of market data: the properties of the density itself . We don't just ask "Where did volume trade?" We ask " Why did it trade there? What was the character of that volume? What is the statistical significance of its shape? What is the probability of what happens next?" This is a complete, institutional-grade analytical framework built on the DAFE principle: Data Analysis For Execution . It fuses a higher-timeframe structural engine, a proprietary microstructure delta engine, and a Bayesian AI into a single, cohesive intelligence system. It is designed to transform your chart from a flat, lagging record of the past into a living, three-dimensional map of market structure and intention. █ WHAT MAKES VP-DoD ULTIMATE UNLIKE ANY OTHER PROFILE TOOL? This is not just another volume profile script. It stands apart due to a suite of proprietary features previously unseen on this platform. Higher Timeframe (HTF) Core: While other profiles are trapped by the noise of your current chart, VP-DoD builds its foundation on a higher timeframe of your choice (e.g., Daily data on a 15m chart). This is its greatest strength. It filters out intraday noise to reveal the true, macro architectural levels where institutions have built their positions. Microstructure Hybrid Delta Engine: Standard delta is primitive. Our engine provides a far more accurate picture of order flow by simulating tick data and analyzing the battle between candle bodies (aggression) and wicks (absorption). It sees the hidden story inside the volume. Bayesian AI Confidence Model: This is not a simple weighted score. VP-DoD incorporates a genuine Bayesian inference model. It starts with a neutral "belief" about the market and continuously updates its Bullish/Bearish Confidence percentage based on new evidence from delta, POC velocity, and price action. It thinks like a professional quant, providing you with a real-time statistical edge. Advanced Statistical Analysis: It calculates metrics found nowhere else, such as Profile Entropy (a measure of market disorder) and Volatility Skew (a measure of fear vs. greed from the derivatives market), and normalizes them with Z-Scores for universal applicability. Revolutionary Visualization Engine: Data should be intuitive and beautiful. VP-DoD features 14 distinct, animated, and theme-aware rendering modes . From "Nebula Plasma" and "Liquid Metal" to "DNA Helix" and "Constellation Map," you can transform raw data into interactive data art, allowing you to perceive market structure in a way that resonates with your unique analytical style. █ THE ART OF ANALYSIS: A REVOLUTIONARY VISUALIZATION CORE Data is useless if it isn't intuitive. VP-DoD shatters the mold of boring, static indicators with a state-of-the-art visualization engine. This is where data analysis becomes data art. The Profile Itself: 14 Modes of Perception Choose how you want to see the market's architecture: Nebula Plasma & Quantum Matrix: Futuristic, cyberpunk aesthetics with vibrant glow effects that make HVNs and POCs pulse with energy. Thermal Vision & Heat Shimmer: Renders the profile as a heatmap, instantly drawing your eye to the "hottest" zones of institutional liquidity. Liquid Metal & Crystalline: Creates a tangible, almost physical representation of volume with metallic sheens, animated light flows, and faceted structures. 3D Depth Map & Prismatic Refraction: Uses layering and color channel separation to create a stunning illusion of depth, separating the profile into its core components. Particle Field & Constellation Map: Abstract, beautiful data art modes that represent volume as animated particles or glowing stars, connecting major nodes like celestial bodies. DNA Helix & Magnetic Field: Dynamic, animated modes that visualize the forces of attraction and repulsion around the POC and Value Area, representing the market's underlying code. The POC & Value Area: A Living, Breathing Structure The POC and VA are no longer static lines. They are a dynamic, interactive system designed for immediate contextual awareness: Multi-Layered Glow Effects: The POC and VA lines are rendered with multiple layers of glowing, pulsating light, giving them a vibrant, three-dimensional presence on your chart. Dynamic Labels & Badges: Each key level (POC, VAH, VAL) features an advanced label block showing not just the price, but the real-time distance from the current price, and a status badge (e.g., "▲ ABOVE", "◆ INSIDE") that changes color and text based on price interaction. Intelligent Color Adaptation: The color of the VAH and VAL lines dynamically changes. A VAH line will glow bright green when price is breaking above it, but will appear dim and neutral when price is far below it, providing instant visual cues about market context. █ ACTIONABLE INTELLIGENCE: THE SIGNAL & ALERT SYSTEM VP-DoD is not just an analytical tool; it's a complete trading framework with a built-in, context-aware signal system. Absorption/Distribution Signals (🏦): The "Whale Signal." Triggers when price and delta are in stark divergence, indicating large passive orders are absorbing the market—a classic institutional maneuver. Coiling Signals (⚡): A high-probability setup that alerts you when the market is compressing (VA contracting, low entropy), storing energy for a significant breakout. POC Shift & VA Breakout Signals: Trend-initiation signals that fire when value is migrating and the market breaks out of its established balance area with conviction. Delta Extreme Signals: Contrarian reversal signals that detect capitulation at the extremes of buying or selling pressure, often marking key turning points. █ THE DASHBOARD: YOUR INSTITUTIONAL COMMAND CENTER The professional-grade dashboard provides a real-time, comprehensive overview of the market's hidden state. Market Regime: Instantly know if the market is BALANCED, COILING, TRENDING , or VOLATILE . Advanced Metrics: Monitor Entropy (disorder), Volatility Skew (fear/greed), and a composite Risk Score . Institutional Score: See the calculated Liquidity Score and Conviction Level , grading the quality of the current market structure. Bayesian AI: The crown jewel. See the real-time, AI-calculated Bull vs. Bear Confidence percentages, giving you a statistical edge on the probable direction of the next move. Breakout Gauge: A forward-looking metric that calculates the Breakout Probability and its likely Bias (Bullish/Bearish). █ DEVELOPMENT PHILOSOPHY VP-DoD Ultimate was created out of a passion for revealing the hidden architecture of the market. We believe that the most profound truths are found at the intersection of rigorous science and intuitive art. This tool is the culmination of thousands of hours of research into market microstructure, statistical analysis, and data visualization. It is for the trader who is no longer satisfied with lagging indicators and seeks a deeper, more contextual understanding of the market auction. It is for the trader who believes that analysis should be not only effective but also beautiful. VP-DoD Ultimate is designed to help you ride the trend with confidence, but more importantly, to give you the data-driven intelligence to anticipate that final, critical bend. █ DISCLAIMER AND BEST PRACTICES CONTEXT IS KING: This is an advanced contextual tool, not a simple "buy/sell" signal indicator. Use its intelligence to frame your trades within your own strategy. RISK MANAGEMENT IS PARAMOUNT: All trading involves substantial risk. The signals and levels provided are based on historical data and statistical probability, not guarantees. HTF IS YOUR GUIDE: For the highest probability setups, use the HTF feature (e.g., 240m or Daily) to identify macro structure. Then, execute trades on a lower timeframe based on interactions with these key macro levels. ALIGN WITH THE REGIME: Pay close attention to the "Regime" and "Entropy" readouts on the dashboard. Trading a breakout strategy during a high-entropy "RANGING" regime is a low-probability endeavor. Align your strategy with the market's current state. "The trend is your friend, except at the end where it bends." — Ed Seykota, Market Wizard Taking you to school. - Dskyz, Trade with Volume. Trade with Density. Trade with DAFE Pine Script®指标由DskyzInvestments提供55 1.4 K
_mr_beach Liquidity Sweep + VWAP V2 Trend Filter, Presets_mr_beach Liquidity Sweep + VWAP Reversal V2 (Trend Filter, Presets) Overview This strategy models a common institutional market behavior: Liquidity is taken above the previous day’s high or below the previous day’s low, followed by a return toward fair value (VWAP) and a reversal in the direction of the dominant trend. The script is designed as a TradingView Strategy for systematic backtesting and optimization. ________________________________________ Core Logic • Liquidity Levels o Previous Day High o Previous Day Low Used as typical stop-liquidity zones. • Fair Value o VWAP is used as confirmation that price has returned to a fair value area. • Trend Filter o EMA-based trend direction filter to avoid counter-trend trades. ________________________________________ Trading Rules Trend Filter • Long trades only when price closes above EMA. • Short trades only when price closes below EMA. Liquidity Sweep • Bullish sweep: Price trades below Previous Day Low. • Bearish sweep: Price trades above Previous Day High. Entry Confirmation • Long o Sweep below Previous Day Low o Close back above Previous Day Low o Close above VWAP • Short o Sweep above Previous Day High o Close back below Previous Day High o Close below VWAP ________________________________________ Risk Management • Stop Loss: ATR-based • Take Profit: ATR-based • Risk automatically adapts to market volatility. • All multipliers are user-adjustable. ________________________________________ Preset Profiles The script includes ready-to-use preset profiles: • Index – conservative, session-based, one trade per day • Forex – session-filtered, moderate volatility settings • Crypto – higher volatility parameters, no session filter • Custom – fully manual configuration Presets control EMA length, ATR settings, SL/TP multipliers, session usage, and trade frequency. ________________________________________ Session & Trade Control • Optional session filter (default: US regular session) • Optional one trade per day limit to reduce overtrading and noise ________________________________________ Chart Elements • EMA (trend direction) • VWAP (fair value) • Previous Day High / Low (liquidity zones) ________________________________________ Alerts • Long setup: Liquidity sweep + VWAP reversal • Short setup: Liquidity sweep + VWAP reversal ________________________________________ Recommended Usage • Markets: Indices, liquid stocks, Forex majors, crypto • Timeframes: 5m and 15m • Parameters should be optimized per market and timeframe. ________________________________________ Disclaimer This script is for educational and backtesting purposes only. It does not constitute financial advice. Performance depends on market conditions, timeframe, fees, and execution. Tags: Liquidity, VWAP, EMA, Reversal, Sweep, Smart Money, ICT, ATR, Strategy Pine Script®策略由ReneHerkert提供11217
_mr_beach Liquidity Sweep + VWAP ReversalLiquidity Sweep + VWAP Reversal (Trend Filter, Session, 1 Trade per Day) Overview This strategy models a common institutional market behavior: liquidity is taken above the previous day’s high or below the previous day’s low, followed by a return toward fair value (VWAP) and a reversal in the direction of the prevailing trend. Designed as a TradingView strategy for structured backtesting in the Strategy Tester. Core Components Liquidity Levels: Previous Day High / Previous Day Low Fair Value Reference: VWAP Trend Filter: EMA (default: 200) Volatility-Based Risk: ATR Trading Rules Trend Filter Long only when price closes above EMA Short only when price closes below EMA Liquidity Sweep Bullish sweep: Low < Previous Day Low Bearish sweep: High > Previous Day High Entry Confirmation Long: After a sweep below the Previous Day Low, price closes back above the level and above VWAP Short: After a sweep above the Previous Day High, price closes back below the level and below VWAP Risk Management Stop Loss: ATR-based (slATR) Take Profit: ATR-based (tpATR) Automatically adapts to changing market volatility Session & Trade Frequency Optional session filter (default: 09:30–16:00 exchange time) Optional one trade per day limit to reduce overtrading Chart Elements EMA (trend direction) VWAP (fair value) Previous Day High / Low (liquidity zones) Alerts Long setup: Liquidity sweep + VWAP reversal Short setup: Liquidity sweep + VWAP reversal Recommended Usage Markets: Indices, liquid stocks, Forex majors, crypto Timeframes: 5m, 15m Note: Parameters such as ATR multipliers and session settings should be optimized per market Disclaimer This is a backtesting strategy, not financial advice. Results depend on market conditions, timeframe, fees, and slippage. Tags: Liquidity, VWAP, EMA, Reversal, Sweep, Smart Money, ICT, ATR, StrategyPine Script®策略由ReneHerkert提供37
5EMA or SMA VWMA by Money farmer5 (EMA/SMA) + VWMA by Money farmer. It has 5 Moving Averages, which you can select as optional. It has Volume Weighted Moving Averages VWMA. Pine Script®指标由MahiReddy提供已更新 9
Cumulative Buy/Sell Volume Ratio[MIT]Cumulative Volume Ratio Description: This dedicated indicator calculates and displays the ratio of cumulative buy volume to cumulative sell volume over the past n bars (Ratio = Cumulative Buy Volume / Cumulative Sell Volume). Volume is split based on price movement: Up bars (close > open) → All volume assigned to Buy Down bars (close < open) → All volume assigned to Sell Flat bars (close == open) → Configurable handling (Split 50/50, Ignore, All to Buy, or All to Sell) Key Features: Supports two display modes: Bars (柱状图) or Line (折线图) Ratio > 1 shown in orange (strong buy pressure), Ratio < 1 shown in teal (strong sell pressure) Built-in reference lines: 1:1 Equilibrium, Strong Buy (>1.5), Strong Sell (<0.67) Optional debug label on the last bar showing current ratio value + raw buy/sell cumulative volumes Inputs: Lookback Period n: Number of bars for rolling cumulative calculation (default: 20) Flat Bar Volume Handling: How to treat doji/flat bars (default: Split 50/50) Display Ratio as Bars: true = Bars style, false = Line style Show Current Ratio Value Label: Toggle debug label on last bar Usage Tips: Ratio > 1 indicates dominant buy pressure in recent volume → potential bullish momentum Ratio < 1 indicates dominant sell pressure → potential bearish pressure Best used in conjunction with price chart to spot divergences or confirmations Performs best on stocks/instruments with active volume 累计成交量比率(Cumulative Volume Ratio) 本指标专门计算并显示过去 n 根 K 线的累计买入成交量与卖出成交量的比率(Ratio = 累计买入量 / 累计卖出量)。 根据 K 线价格走势对成交量进行拆分: 阳线(收盘 > 开盘)→ 全部成交量计入买入 阴线(收盘 < 开盘)→ 全部成交量计入卖出 平盘(收盘 = 开盘)→ 支持多种处理方式(50/50 平分、忽略、全部计买入、全部计卖出) 核心功能: 支持柱状图(Bars)或折线图(Line)两种显示方式 比率 > 1 时显示橙色(买方强势),比率 < 1 时显示青色(卖方强势) 内置关键参考线:1:1 均衡线、买方强势 (>1.5)、卖方强势 (<0.67) 可选在最后一根 K 线上显示调试标签,实时显示当前比率值及累计买/卖量数值 参数说明: 回看周期 n:累计计算的 K 线根数(默认 20) 平盘处理:如何处理收盘=开盘的 K 线(默认 50/50 平分) 比率显示为柱状图:开启为柱状图,关闭为折线图 显示当前比率数值标签:是否显示最后一根 K 线的数值标签(调试用) 使用建议: 比率 > 1 表示近期买入力量占优,适合关注潜在上涨动能 比率 < 1 表示卖出力量占优,可作为短线压力参考 建议与价格主图结合使用,观察比率与价格走势的背离或确认信号 在成交量活跃的个股上效果更明显 Pine Script®指标由MITAlphaLibrary提供18
Cumulative Buy/Sell Volume[MIT]Cumulative Buy/Sell Volume - Stacked/Separate Mode Description: This indicator calculates and displays the cumulative buy and sell volume over the past N bars (lookback period). It splits volume based on price movement: Up bars (close > open) → All volume assigned to Buy Down bars (close < open) → All volume assigned to Sell Flat bars (close == open) → Configurable handling (split 50/50, ignore, all to buy, or all to sell) Key Features: Two display modes: Separate Display: Buy bars upward (green), Sell bars downward (red) — classic side-by-side comparison Stacked Display: Both bars upward — visually stacked to show total volume and buy/sell dominance Fully customizable colors for Buy and Sell bars (with high transparency for better stacking visibility) Rolling window calculation (default 20 bars) Optional debug label on the last bar showing exact Buy/Sell cumulative values Inputs: Lookback Period n: Number of bars to look back for cumulative volume (default: 20) Flat Bar Volume Handling: How to handle doji/flat bars (Split 50/50, Ignore, All to Buy, All to Sell) Display Mode: Separate Display or Stacked Display Show Buy Volume / Show Sell Volume: Toggle visibility Buy Bar Color / Sell Bar Color: Custom color picker Usage Tips: Use "Stacked Display" to quickly see which side (buy or sell) dominates the recent volume. Use "Separate Display" for clear absolute strength comparison. Higher transparency ensures overlapping bars in stacked mode remain distinguishable. Best used on active stocks with sufficient volume. Note: This is a non-overlay indicator (shows in a separate pane). Combine with price chart for better context. 指标名称: 累计买/卖成交量 - 叠加/分开模式 短标题: Cum BuySell Vol Custom 指标描述: 本指标计算并显示过去 N 根 K 线的累计买入量和卖出量。根据价格走势对成交量进行拆分: 阳线(收盘 > 开盘)→ 全部成交量计入买入 阴线(收盘 < 开盘)→ 全部成交量计入卖出 平盘(收盘 = 开盘)→ 可配置处理方式(50/50 平分、忽略、全部计买入、全部计卖出) 主要功能: 两种显示模式: 分开展示(Separate Display):买入柱向上(绿色),卖出柱向下(红色)——经典对比模式 叠加展示(Stacked Display):买入和卖出柱都向上绘制——视觉上堆叠,快速看出买/卖谁占主导 支持自定义买入柱和卖出柱颜色(内置高透明度,确保叠加时两种颜色都能看清) 滚动窗口计算(默认 20 根 K 线) 可选在最后一根 K 线上显示调试标签(显示精确的累计买入/卖出数值) 参数说明: 回看周期 n:累计计算的 K 线根数(默认 20) 平盘处理方式:如何处理收盘=开盘的 K 线(50/50 平分、忽略、全部计买入、全部计卖出) 显示模式:分开展示 或 叠加展示 显示买入量 / 显示卖出量:开关控制是否显示对应柱子 Buy Bar Color / Sell Bar Color:自定义柱子颜色(支持透明度调整) 使用建议: 叠加模式适合快速判断近期成交量中买方或卖方更强势(柱子谁高谁占优)。 分开模式适合清晰对比买/卖绝对力量差异。 高透明度设置确保叠加时两种颜色都能透出,不会完全覆盖。 建议用在成交活跃的个股上,效果更明显。Pine Script®指标由MITAlphaLibrary提供9
Silent Alpha Price ValueSilent Alpha Price Value Silent Alpha Price Value Silent Alpha Price ValueSilent Alpha Price ValueSilent Alpha Price ValueSilent Alpha Price ValueSilent Alpha Price ValueSilent Alpha Price ValueSilent Alpha Price ValueSilent Alpha Price ValuePine Script®指标由bilalnajmi提供2
Smart Auto-Step Openndicator Name: 15m Reversal Strategy (Polymarket) Short Description: A mean-reversion strategy designed for the 15-minute timeframe. It identifies overextended short-term trends and signals entries on the probability of a reversal candle.Pine Script®指标由DOLLARROO提供29
Volume + ATR Robust Z-Score Suite (MAD)Measure relevant volumes together with high-volatility candles, providing initiative signals based on volume. Mark the relevant candle and use it as support or resistance.Pine Script®指标由ONLYORDERFLOW提供54
Daily Xth Percentile Volume SpikeA percentile is a statistical measure that indicates the relative standing of a specific value within a dataset by identifying the percentage of data points that fall at or below it. Volume percentile indicates how that trading compares to other days. For example, volume above the 95th percentile means more shares/contracts traded than in the last 20-days lookback period.Pine Script®指标由GammaCapture提供3
Whale OBV Hunter [Divergence]ENGLISH: How it works This indicator automatically compares price action against volume flow (OBV). It hunts for "Divergences". Normally, if price drops, OBV should drop. If price drops but OBV rises, it means "Whales" are absorbing the selling pressure (Accumulation). How to use it Buy Signal (Accumulation): Look for Green Lines and the label "Whale Accumulation". Meaning: Price made a lower low, but OBV made a higher low (Bullish Divergence). This is a strong signal for an upward reversal. Action: Look for a LONG entry. Sell Signal (Distribution): Look for Red Lines and the label "Whale Distribution". Meaning: Price is making higher highs, but OBV is dropping (Bearish Divergence). Smart money is leaving. Action: Take profits or look for a SHORT entry. Settings (Lookback): Default is 5. If you see too much noise (too many signals), increase this number to 10 in the settings to spot only major institutional movements. Pine Script®指标由Saletrader1提供22
RSI + KVO TriggerRSI + KVO Trigger is a momentum‑and‑volume indicator that combines a standard RSI with the Klinger Volume Oscillator’s trigger line in the same pane. It helps you see whether price momentum (RSI) and volume‑based money flow (KVO) are confirming each other or starting to diverge, using the same central 50/0 line for quick visual decisions. ------------------------------- What the indicator shows. In this script, the RSI 50 line is also the KVO “zero” line, so when: RSI is above 50, price momentum is bullish. KVO trigger is above that same line, volume/money flow is bullish. Either one dipping below the line shows weakening in that dimension. ------------------------------- Using it for entries. You can think of the RSI as your main trend/momentum filter and the KVO trigger as confirmation (or a warning) from volume. Typical entry ideas: Long setups: RSI above 50 and rising, showing bullish momentum. KVO trigger also above the midline or crossing up toward/through it, showing volume backing the move. Extra aggressive: buy on pullbacks where RSI stays above 50 while KVO trigger turns back up above the line after a dip. Short setups: RSI below 50 and falling, showing bearish momentum. KVO trigger below the midline or crossing down through it, showing selling pressure dominating. Extra aggressive: short on bounces where RSI stays below 50 and KVO trigger rolls back down from near the midline. ------------------------------------- Using it for exits and trade management. You can also use the combination to manage open trades, watching for disagreement between price, RSI, and KVO. For example: Exiting longs: You’re in a long while RSI is above 50 and KVO trigger is above midline. If KVO trigger drops below the midline first while RSI is still above 50, it can be an early warning that the trend is losing volume support, so you might tighten stops or scale out. If RSI then also breaks below 50, that’s stronger confirmation to close the position or be very defensive. Exiting shorts: You’re in a short while RSI is below 50 and KVO trigger is below midline. If KVO trigger pops above the midline ahead of RSI, it can signal selling pressure is fading; consider reducing size or tightening your stop. A later RSI cross back above 50 can be your hard exit rule. ------------------------------------- Divergences and “late‑trend” signals. Because both lines share the same center level, it’s easy to spot situations where price is still trending but one of the components is lagging: Bullish risk signal: Price pushes higher, RSI stays above 50, but KVO trigger spends more time below the midline or fails to follow price higher. This suggests a maturing/uptrend with weaker participation, making new longs riskier and encouraging partial profit‑taking or tighter stops. Bearish risk signal: Price makes lower lows, RSI stays below 50, but KVO trigger keeps drifting above the midline. That can hint at hidden accumulation, where you might be more cautious with new shorts and watch for a trend reversal. ------------------------------------ Used this way, the indicator is not a standalone “buy/sell arrow,” but a structured way to demand agreement between momentum (RSI) and volume (KVO trigger) for entries, and to notice early when that agreement starts to break down for exits or risk management. Pine Script®指标由ThomasPg提供7
Fixing Volume Vizualization This simple script shows only the fixing candles (by default, 5 PM UTC) and attaches a label with the volume value on each of them. It’s useful if you want to analyze volume behavior specifically during the fixing – for example, to compare institutional activity across days, Wednesdays, or months. You can: • set a custom date range (from–to), • change the fixing hour if needed, • easily modify colors, labels, or volume thresholds. It hides everything except the fixing candles – giving you a clean, focused view. This is an update of less configurable script that gives you more flexibility through settings rather then pine editor.Pine Script®指标由fis_wse提供15
Sumit' Trade line strategy (4PM-1AM)SUMIT INGOLE This is a custom-built trading indicator designed to help traders identify clear market direction and high-probability entry zones. The indicator focuses on: • Trend direction • Strong price levels • Clear buy and sell signals • Easy-to-read structure It is beginner-friendly and does not require complex market knowledge. The signals are based on pure price behavior and smart market movement, helping traders avoid confusion and overtrading. This indicator works best when used with proper risk management and discipline. It can be applied on multiple timeframes and is suitable for intraday as well as swing trading. Note: This indicator is a support tool, not a guarantee of profits. Always follow your trading plan and manage risk properly.Pine Script®指标由rahulingole4712提供100
[SUMIT] Trade line strategy 05:00pm to 11:00pmSUMIT INGOLE This indicator is created by Sumit Ingole, a trader from Maharashtra, India, based on real-time market experience. It helps identify market direction and clean entry zones with a simple structure. Best used with proper risk management.Pine Script®指标由rahulingole4712提供1152
Star SMC and Price action [ARule]This script is a Smart Money Concepts (SMC) + Price Action + VWAP + Swing Zones indicator. It detects and draws: ✅ Fair Value Gaps (FVG) ✅ Imbalances (HTF FVG) ✅ BOS / CHoCH (Market Structure) ✅ Internal & Swing Structure ✅ Order Blocks (Internal + Swing) ✅ Equal High / Equal Low (EQH / EQL) ✅ Premium / Discount Zones ✅ Multi-Timeframe High & Low levels ✅ VWAP trend filter ✅ Swing High / Low zones with volume/count filter ✅ Alerts for all major SMC events 👉 Basically: 💎 “All-in-one institutional trading indicator” ✅ 1) HTF FVG / Imbalance System (First Part) This part: Uses multiple higher timeframes: 5m, 15m, 1H, 4H, 1D, 1W Detects imbalance (FVG-like gaps) Draws boxes on chart Marks mitigated zones Adds labels like: 5m, 15m, 1H etc. Logic: An imbalance forms when: current high < previous low (gap down) or current low > previous high (gap up) Then it draws a box 📦 ✅ 2) Mitigation Logic (Very Important) Your script checks when FVG is filled: Options: Wick filled Body filled Half filled None Example: "Wick filled" => low <= imb.open Meaning: 👉 Price touched the FVG → mark as mitigated. ✅ 3) Smart Money Concepts (SMC Core) This huge section detects: 🔹 BOS (Break of Structure) When price breaks previous swing high/low. 🔹 CHoCH (Change of Character) Trend reversal signal. Example: Uptrend → break low → CHoCH bearish Downtrend → break high → CHoCH bullish ✅ 4) Internal vs Swing Structure Internal Structure: Small moves (lower timeframe) Fast signals ⚡ Swing Structure: Major trend structure Strong signals 💪 You can enable/disable both in settings. ✅ 5) Order Blocks (OB) Detected when structure breaks. Two types: 🟢 Bullish OB 🔴 Bearish OB Logic: Script finds last opposite candle before BOS/CHoCH. Then draws OB box 📦 Also checks mitigation: close > OB high → bearish OB broken close < OB low → bullish OB broken ✅ 6) Equal High / Equal Low (Liquidity) Detects liquidity zones: EQH = Equal High EQL = Equal Low Logic: If two highs/lows are close within ATR threshold. Used for: 👉 Liquidity grab / stop hunt zones. ✅ 7) Fair Value Gaps (FVG) – Another System This is separate from HTF imbalance. Condition: currentLow > high → bullish FVG currentHigh < low → bearish FVG Draws 2 boxes per FVG. ✅ 8) Premium / Discount Zones Based on latest swing high & low: Premium zone = top 50% Discount zone = bottom 50% Equilibrium = middle Used in SMC for entries. ✅ 9) Multi-Timeframe High/Low Levels Draws: Previous Day High/Low Previous Week High/Low Previous Month High/Low ✅ 10) VWAP Filter (Your Added Block) You added: VWAP Line vwapValue = ta.vwap(close) Trend Filter Bullish → price above VWAP Bearish → price below VWAP ATM / ITM / OTM logic atm_condition = abs(close - vwap) <= 25 Meaning: ATM = price near VWAP ITM / OTM = based on VWAP direction 💡 This is NOT real option ATM — it's a conceptual filter. ✅ 11) Swing High / Low Zones (Last Part) This part: Detects swing highs & lows using pivot logic Creates zones (boxes) Counts touches or volume inside zone Filters strong zones Example: More touches = stronger support/resistance More volume = institutional interest ✅ What makes this script powerful 💎 It combines: Concept Purpose FVG / Imbalance Institutional gaps BOS / CHoCH Trend change Order Blocks Smart money zones EQH/EQL Liquidity Premium/Discount Entry zones VWAP Trend filter Swing Zones Support/Resistance 👉 This is almost like ICT + SMC + Volume + VWAP hybrid. ✅ If you want, I can help you: I can: ✅ Simplify this script (remove heavy parts) ✅ Add NIFTY / BANKNIFTY option logic ✅ Add Buy/Sell signals ✅ Add scanner (BOS + VWAP + FVG) ✅ Add dashboard table ✅ Optimize performance (reduce lag) ✅ Convert VWAP → real ATM strike logic ✅ Explain any part line-by-linePine Script®指标由arulrajadpi提供1136
Order Flow Imbalance Oscillator [StrikePriceLabs]Order Flow Imbalance Oscillator is an extension of “Supply and Demand Zones ” that converts institutional supply & demand zone volume into a real-time momentum oscillator. Instead of plotting zones on price, this script aggregates active bullish and bearish zone deltas and plots their net imbalance: Imbalance = Total Demand − Total Supply Positive values → Buyer dominance Negative values → Seller dominance Zero line → Market balance Designed for momentum confirmation, and bias filtering, this indicator works best when used alongside other price action confirmation indicators. 🔹 How to Read & Trade the Signals 1️⃣ Directional Bias Above Zero Line Demand zones dominate → bullish bias Below Zero Line Supply zones dominate → bearish bias Near Zero Compression / balance → expect expansion Use this as a trade filter, not a trigger. 2️⃣ Breakout Confirmation Breakout with oscillator expansion → genuine participation Breakout without oscillator confirmation → high chance of failure or trap This is my first published indicator. Feedback, suggestions, and improvement ideas are welcome and appreciated.Pine Script®指标由StrikePriceLabs提供已更新 37
FVG (1MLuva) - Multi-TimeframeTook something that was cool that Nephew Sam made and added some more awesome-sauce! Make dat dinero!Pine Script®指标由the1mLuva提供已更新 7
Open Interest [OI] & Liquidation Flow█ THE DUAL-ENGINE ARCHITECTURE: A FUSION OF TWO CRITICAL FORCES The power of this suite comes from its dual-engine design. It isolates and analyzes the two opposing forces that truly drive modern markets: the informed positioning of institutions and the often-misguided sentiment of the retail crowd. A high-probability trade signal is only generated at the precise moment these two forces come into critical conflict. ENGINE 1: The Open Interest (OI) & Position Flow Engine This is your lens into the institutional world. Its primary function is to track the flow of money into and out of the market, revealing the true intent of large players. Live OI Integration: In a groundbreaking feature for TradingView, this engine includes a Smart Symbol Detector that automatically seeks and integrates LIVE Open Interest data for supported markets (CME, Binance, Bybit, etc.). When available, you are seeing a direct feed of net new positions entering the market. 12-Factor Synthetic OI Model: When live OI data is not available, the engine synthesizes a high-fidelity proxy by analyzing 12 distinct factors, including Cumulative Volume Delta (CVD), Absorption, Effort vs. Result, and Institutional Bias. Curvature Analysis: We don't just look at the flow; we analyze its Velocity and Acceleration . A sharp acceleration in bullish OI Flow is a powerful sign that institutions are aggressively building long positions. INTERPRETATION: This engine tells you what the "smart money" is doing. A divergence—where price is falling but OI Flow is rising—is a classic sign that institutions are quietly absorbing retail panic, often preceding a violent reversal upwards. ENGINE 2: The Liquidation Flow & Crowd Engine This engine operates on a powerful contrarian philosophy: the market is designed to inflict maximum pain on the largest number of participants. It identifies when the retail "herd" is over-leveraged and positioned for a fall. Crowd Positioning Model: It analyzes factors like extreme RSI levels, deviation from Fair Value (VWAP), and "chase behavior" (e.g., many consecutive bullish candles) to determine when the retail crowd is dangerously over-exposed. Risk Analysis: It synthesizes multiple risk factors—crowding, momentum divergence, exhaustion—into a single, easy-to-read Liquidation Risk percentage . Fear & Greed Skew: It measures the volatility skew in the options market to provide a direct gauge of market-wide fear and greed, adding a final layer of sentimental context. HOW TO USE IT: This is your liquidation radar. When Liquidation Risk is HIGH and the Crowd is positioned heavily LONG, the market is primed for a long squeeze (a liquidation cascade downwards). Conversely, when the Crowd is heavily SHORT, a short squeeze is highly probable. █ THE SECRET SAUCE: UNIVERSAL ADAPTABILITY The genius of this engine lies in its ability to work on any asset, in any timeframe, without manual recalibration. This is achieved through Z-Score Normalization . Every piece of data is converted from a raw value into a statistical score representing its deviation from the "norm." A +2.0 sigma event represents an extreme outlier, whether it's on a 1-minute chart of a crypto asset or a daily chart of a stock. This makes the signals universally comparable and allows the engine to automatically adapt to the unique volatility and character of any market. █ THE ARSENAL: MASTERING THE VISUALS & ON-CHART TOOLS Every visual element is a data-rich component designed for rapid, intuitive interpretation. The Lower Pane Visualizer This is your primary intelligence dashboard, with four distinct modes to view the underlying market forces: Classic Flow (Default): A multi-column view perfect for spotting divergences between price and the underlying flow of money and sentiment. Heatmap Matrix: A color-density grid designed to identify "cluster" events where multiple engines light up simultaneously, signaling institutional consensus. Oscillator Pro: A zero-centered line visualization for traders who prefer crossover and momentum-style analysis. Delta Waterfall: A unique cascading visualization that shows the cumulative "weight" of the market, stacking the pressure from each engine to reveal the dominant force. Main Chart Overlays BUY/SELL Signals: These are the primary, high-conviction reversal signals. They are not simple crossovers; they are the result of a rigorous confirmation process where institutional OI Flow directly conflicts with a vulnerable retail Liquidation Flow. Minor Triangles (▲▼): Secondary momentum signals that are excellent for scalping, confirming a trend, or adding to a winning position. Supply/Demand Zones: When a strong, institutionally-backed signal fires, the script automatically plots a defended zone (Red for Supply, Green for Demand), highlighting future high-probability reversal areas. Key Levels: Automatically extends lines from significant highs and lows where a major flow reversal occurred, highlighting critical support and resistance. High Risk Diamonds (💎): A critical risk management tool. These markers appear when conditions are ripe for a liquidation cascade. This is an explicit warning to take profits or stand aside. The Dashboard (HUD) Your at-a-glance command center, displaying real-time, mission-critical data: Z-Scores for OI Flow Velocity & Acceleration: See the raw, normalized momentum of the institutional flow. Crowd Sentiment Status: Instantly know if the market is dangerously "CROWDED" or balanced. Liquidation Risk %: A numerical gauge from 0-100% showing the probability of a violent flush. Live Data Status: Confirms whether the engine is using LIVE OI data or the PRO synthetic model. Optimizer Readout: When enabled, shows the backtest results of your current settings. █ THE COMMAND CENTER: MASTERING THE INPUTS This suite offers deep customization for the professional trader. Analysis Length: The "memory" of the flow engine. Use shorter lengths (10-14) for scalping and longer lengths (21+) for swing trading. Signal Sensitivity: A master control to switch between Conservative (fewer, higher-quality signals), Normal (balanced), and Aggressive (more frequent signals for scalping) modes. Display Toggles: Individually enable or disable any of the core components in the lower pane to create your perfect analytical view. Overlay Controls: Individually toggle all on-chart visuals and control the maximum number of Zones and Key Levels to maintain a clean workspace. █ THE OPTIMIZER ENGINE: VALIDATE BEFORE YOU TRADE Confidence comes from data. The built-in Optimizer Engine is a powerful backtester that runs on your chart's visible data. It allows you to rapidly test different ATR-based Take Profit and Stop Loss parameters, providing key metrics like Win Rate, Profit Factor, and a proprietary Stability Rating ( ROBUST, STABLE, FRAGILE, OVERFIT ) to help you find the most statistically sound settings for your specific asset and timeframe before risking capital. █ DEVELOPMENT PHILOSOPHY This indicator was born from a single, guiding principle: to win in modern markets, you must stop listening to the noise of price and start analyzing the signal of flow. Price is where amateurs look; flow is where professionals find their edge. This tool is our attempt to level the playing field, translating the opaque world of derivatives and institutional positioning into a clear, intuitive, and actionable intelligence system. This tool is for the serious student of the market—the trader who seeks to understand the "why" behind the move, not just the "what." █ DISCLAIMER AND BEST PRACTICES THIS IS AN ADVANCED ANALYTICAL TOOL: This indicator provides intelligence, not financial advice. It should be used as a core component of a comprehensive trading strategy that includes your own analysis of market structure and risk management. RISK MANAGEMENT IS PARAMOUNT: All trading involves substantial risk. Never risk more capital than you are prepared to lose. This indicator does not guarantee profits. SIGNAL HIERARCHY IS KEY: Treat the main BUY/SELL labels as your primary signals. Use the minor triangles to add to positions or for scalping. Use the High Risk diamonds as a signal to reduce exposure and take profits. MULTI-TIMEFRAME ANALYSIS: For the highest probability setups, use the indicator on a higher timeframe (e.g., 1H) to establish an institutional bias, then take signals on a lower timeframe (e.g., 5m) that align with that bias. "The game of speculation is the most uniformly fascinating game in the world. But it is not a game for the stupid, the mentally lazy, the person of inferior emotional balance, or the get-rich-quick adventurer. They will die poor." — Jesse Livermore Taking you to school. - Dskyz, Trade with Open Interest. Trade with Liquidity. Trade with Open Interest & Liquidation FlowPine Script®指标由DskyzInvestments提供77569
Mag 7 VWAP TableThe **Mag 7 VWAP Table** is a real-time monitoring dashboard for the "Magnificent Seven" stocks. It provides a clean, professional table on your chart showing whether each stock is trading above or below its daily VWAP, its current price, and its intraday performance compared to yesterday's close. --- ## **Indicator Overview** This script acts as a **market health dashboard**. By tracking the seven most influential stocks in the NASDAQ (AAPL, MSFT, GOOGL, AMZN, NVDA, META, TSLA), it gives traders an immediate sense of market sentiment. If the majority of these stocks are "ABOVE VWAP" and green, the broader market is likely in a strong bullish state. ### **Core Utility & Value** * **Institutional Alignment:** VWAP (Volume Weighted Average Price) is the primary benchmark used by institutional traders. Knowing if the Mag 7 are above or below this level tells you if big money is buying or selling the "generals" of the market. * **Screen Real Estate Efficiency:** Instead of opening seven different charts, you can monitor the most important tickers in the corner of your main trading screen. * **Performance Tracking:** Real-time percentage change allows you to spot which of the tech giants is leading or lagging during the session. --- ## **Key Technical Features** | Feature | Description | | --- | --- | | **Multi-Symbol Data** | Uses `request.security` to pull live data for all seven tickers simultaneously. | | **Precision VWAP** | Calculates VWAP from a **1-minute base** (configurable). This ensures the "Daily VWAP" is hyper-accurate and resets exactly at the session open. | | **Visual Alerts** | Uses a color-coded system (Teal/Red) for instant visual recognition of VWAP status. | | **Zero-Lag Table** | Built using the `table` object, which remains fixed on your screen regardless of where you scroll on the chart. | | **Version 6 Optimized** | Written in the latest **Pine Script v6**, ensuring maximum performance and compatibility with new TradingView features. | --- ## **How to Read the Table** 1. **Stock:** The ticker symbol (NASDAQ prefix removed for cleanliness). 2. **Price:** The current live market price of the asset. 3. **VWAP Status:** * **ABOVE VWAP (Teal):** Bullish. The stock is trading higher than the average price paid by all traders today, weighted by volume. * **BELOW VWAP (Red):** Bearish. The stock is underperforming its daily average. 4. **% Change:** The net gain or loss since yesterday's 4:00 PM EST close. Includes dynamic arrows (**▲/▼**) for quick reading. --- ## **Pro Tip for Usage** Since these stocks represent over **40% of the NASDAQ-100's weight**, use this table as a **confluence filter**. For example, if you are looking to take a "Long" trade on the QQQ or NQ futures, you would ideally want to see at least 5 out of the 7 stocks in this table showing **"ABOVE VWAP"**. Pine Script®指标由zakariya_elalj提供10
Mag 7 VWAP TableThe **Mag 7 VWAP Table** is a real-time monitoring dashboard for the "Magnificent Seven" stocks. It provides a clean, professional table on your chart showing whether each stock is trading above or below its daily VWAP, its current price, and its intraday performance compared to yesterday's close. --- ## **Indicator Overview** This script acts as a **market health dashboard**. By tracking the seven most influential stocks in the NASDAQ (AAPL, MSFT, GOOGL, AMZN, NVDA, META, TSLA), it gives traders an immediate sense of market sentiment. If the majority of these stocks are "ABOVE VWAP" and green, the broader market is likely in a strong bullish state. ### **Core Utility & Value** * **Institutional Alignment:** VWAP (Volume Weighted Average Price) is the primary benchmark used by institutional traders. Knowing if the Mag 7 are above or below this level tells you if big money is buying or selling the "generals" of the market. * **Screen Real Estate Efficiency:** Instead of opening seven different charts, you can monitor the most important tickers in the corner of your main trading screen. * **Performance Tracking:** Real-time percentage change allows you to spot which of the tech giants is leading or lagging during the session. --- ## **Key Technical Features** | Feature | Description | | --- | --- | | **Multi-Symbol Data** | Uses `request.security` to pull live data for all seven tickers simultaneously. | | **Precision VWAP** | Calculates VWAP from a **1-minute base** (configurable). This ensures the "Daily VWAP" is hyper-accurate and resets exactly at the session open. | | **Visual Alerts** | Uses a color-coded system (Teal/Red) for instant visual recognition of VWAP status. | | **Zero-Lag Table** | Built using the `table` object, which remains fixed on your screen regardless of where you scroll on the chart. | | **Version 6 Optimized** | Written in the latest **Pine Script v6**, ensuring maximum performance and compatibility with new TradingView features. | --- ## **How to Read the Table** 1. **Stock:** The ticker symbol (NASDAQ prefix removed for cleanliness). 2. **Price:** The current live market price of the asset. 3. **VWAP Status:** * **ABOVE VWAP (Teal):** Bullish. The stock is trading higher than the average price paid by all traders today, weighted by volume. * **BELOW VWAP (Red):** Bearish. The stock is underperforming its daily average. 4. **% Change:** The net gain or loss since yesterday's 4:00 PM EST close. Includes dynamic arrows (**▲/▼**) for quick reading. --- ## **Pro Tip for Usage** Since these stocks represent over **40% of the NASDAQ-100's weight**, use this table as a **confluence filter**. For example, if you are looking to take a "Long" trade on the QQQ or NQ futures, you would ideally want to see at least 5 out of the 7 stocks in this table showing **"ABOVE VWAP"**.Pine Script®指标由zakariya_elalj提供3