Momentum Exhaustion UltimateMomentum Exhaustion Ultimate
Introduction
This indicator is a comprehensive market timing tool based on Consecutive Bar Counting logic. Unlike standard oscillators like RSI or MACD which smooth data using averages (lagging price), this strategy analyzes the specific sequence and persistence of price action to identify moments of trend exhaustion in real-time.
It is widely used on professional trading desks to answer one specific question: "Has the current trend run out of gas?"
The Core Philosophy
Markets do not move in straight lines; they move in waves of momentum and exhaustion. This strategy posits that a trend typically exhausts itself after a specific cadence of buying or selling pressure. By "counting" these pressure bars, we can identify high-probability zones where the market is likely to pause (Extension) or reverse completely (Exhaustion).
How It Works: The Two Phases
1. The Extension Phase (The "9"):
Goal: Identifies a trend that is becoming overextended (Momentum).
The Signal: A count of 9 consecutive bars closing higher/lower than the close 4 bars prior.
Meaning: This is a "Momentum Pause" signal. When a 9 appears, the market often corrects for 1-4 bars. It is the first warning sign of fatigue.
2. The Exhaustion Phase (The "13"):
Goal: Identifies the final exhaustion of the trend.
The Signal: A count of 13 bars (not necessarily consecutive) where price pushes to new extremes relative to the high/low 2 bars prior.
Meaning: This is the "Reversal" signal. The buying/selling pressure has likely fully capitulated, and a major counter-trend move is expected.
How To Use This Script
This indicator is not just a "reversal catcher." It includes institutional features (Structure Lines and Invalidation Levels) to help you manage the trade:
Don't Just Fade the "9": A "9" isn't always a buy signal. If the trend is strong, the "9" might just be a pause. Wait for the 13 for major reversals.
The "Quality Filter" (Diamond ♦): A signal is statistically stronger if the final bar (8 or 9) actually pushes deeper than previous bars. This script marks these high-quality signals with a Diamond (♦).
The Trend Barrier Breakout: The script plots Structural Support/Resistance Lines (Dashed Red/Green). If price ignores a Reversal Signal and breaks through this line, the reversal has failed. Cancel your fade and trade the Breakout (Trend Continuation). This is often the most profitable signal in the system.
The "Invalidation" Line: The Blue Dotted line represents the "Stop Loss" level derived from the volatility of the count. If price closes past this line, the signal is invalid—exit immediately.
Features Included in This Script:
Full Engine: Includes both the Extension (1-9) and Exhaustion (1-13) counters.
Wick-Sensitive Mode: Option to switch logic for fast-moving markets (Crypto/FX) to detect wicks rather than closes.
Deferral Logic: "Qualifier" rules that prevent a 13 from firing until momentum actually slows down.
Structure Lines: Institutional trend barriers for breakout trading.
Volatility Stops: Dynamic invalidation levels to protect capital.
Minimalist Mode: Hides the "number soup" to keep your chart clean, showing only actionable signals.
波浪分析
Ultra-Fast Scalp Predictor - By Herman Sangivera ( Papua )Ultra-Fast Scalp Predictor - By Herman Sangivera ( Papuan Trader )
Overview
Ultra-Fast Scalp Predictor is a high-speed technical indicator specifically engineered for scalpers and day traders. Built on Pine Script V6, this tool specializes in identifying "Squeeze" phases—periods of market compression—and predicting the direction of the upcoming "explosion" before it happens.
The Problem It Solves
Most scalping indicators suffer from two issues: they are either too slow (Lagging) or too sensitive (Fake Signals). This script solves both by using a "Preparation -> Prediction -> Execution" workflow.
How It Works
Phase 1: Squeeze Detection (The Setup) The script monitors the volatility "coil" using Bollinger Bands and Keltner Channels. A Gray Background indicates a Squeeze. This is where the market is sideways, building energy.
Phase 2: Momentum Velocity (The Prediction) While the price is still sideways, the script uses Linear Regression Momentum and Price Velocity.
Aqua Circle (Early Ready Up): Momentum is shifting bullish inside the squeeze.
Orange Circle (Early Ready Down): Momentum is shifting bearish inside the squeeze.
Phase 3: Fast Breakout (The Execution) Once the squeeze "fires" and price crosses the bands, the script triggers a FAST BUY or FAST SELL signal.
Key Features
No-Lag HMA: Uses a 12-period Hull Moving Average for ultra-responsive trend tracking.
Squeeze Logic: Prevents you from overtrading in a "dead" market.
Predictive Signals: The "Early Ready" dots give you a split-second advantage over other traders.
Visual Clarity: Clean labels and shapes designed for 1-minute and 5-minute timeframes.
How to Trade with This Indicator
Step 1 (The Wait): Wait for the gray background (Squeeze).
Step 2 (The Hint): Look for the Aqua or Orange dots. These are your "get ready" warnings.
Step 3 (The Entry): Enter as soon as the FAST BUY (Lime) or FAST SELL (Red) triangle appears.
Step 4 (The Exit): Exit when the HMA line changes color or use a 1:1.5 ATR-based risk/reward ratio.
Settings Explained
Fast HMA Length: Default is 12. Lower = Faster, Higher = Smoother.
Squeeze Length: Default is 20. Controls how sensitive the sideways detection is.
Multipliers: Adjust the BB and KC multipliers to tighten or loosen the breakout sensitivity.
Disclaimer: Scalping involves significant risk. This tool is designed to assist your analysis, not replace sound risk management. Always backtest on a demo account before trading live.
Swing Zig Zag - Market Structure Indicator by Panda TradingOverview
The Swing Zig Zag indicator is a powerful tool for identifying market structure changes, Break of Structure (BOS), and Change of Character (CHoCH) patterns. It automatically detects and visualizes key price action levels, helping traders identify potential trend reversals and continuation patterns.
Key Features
📊 Market Structure Detection
- Break of Structure (BOS): Identifies when price breaks significant swing highs/lows, indicating trend continuation
- Change of Character (CHoCH): Detects trend reversals when price breaks counter-trend levels
- Visual ZigZag Lines: Connects CHoCH points to clearly visualize market structure flow
🎨 Customizable Display
- **Adjustable Pivot Length**: Control sensitivity of swing point detection (default: 5)
- **Two Detection Modes**:
- Extreme Points: Uses absolute highs and lows
- Adjusted Points: Dynamically adjusts levels for better accuracy
- **Line Limit Control**: Display up to 500 structure lines to keep charts clean
- **Color-Coded Levels**: Distinct colors for bullish/bearish BOS and CHoCH
⚡ Real-Time Alerts
- Built-in alert system for CHoCH detection
- Separate alerts for bullish and bearish changes
- Once-per-bar alert frequency to avoid spam
🔧 Customization Options
- ZigZag Lines: Toggle visibility, customize color, width, and style (Solid/Dashed/Dotted)
- Structure Lines: Show/hide market structure with adjustable display limit
- CHoCH Extension: Horizontal lines extend forward to highlight active levels
How to Use
1. Trend Following: Use BOS confirmations to enter in the direction of the trend
2. Reversal Trading: Watch for CHoCH signals indicating potential trend changes
3. Support/Resistance: CHoCH levels often act as key support and resistance zones
4. Market Structure: The zigzag pattern helps identify higher highs/lows and market phases
Settings
- Pivot Length: Controls sensitivity (lower = more signals, higher = stronger signals)
- Structure Limit: Number of historical structure lines to display (10-500)
- ZigZag Display: Toggle and customize the connecting lines between CHoCH points
- Mode Selection: Choose between Extreme Points or Adjusted Points for different trading styles
Best Practices
- Combine with other indicators for confirmation
- Use on higher timeframes for stronger signals
- Wait for candle close before acting on signals
- CHoCH levels can act as dynamic support/resistance
Technical Notes
- Maximum 5000 bars lookback
- Supports up to 500 lines and labels
- Optimized for performance on all timeframes
- Works on all markets: Forex, Crypto, Stocks, Indices
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Perfect for: Price action traders, swing traders, and anyone looking to understand market structure and trend changes with clarity.
PRO RSI + MACD AI - INST TOGGLEMac d and rsi cobination with ai signals usefull for all tyme frame and all type of scripts
PINE PRO [V2.1] - Ultimate Trading Suite
Overview PINE PRO is an advanced algorithmic trading suite engineered for precision and clarity. In an era of market noise and false signals, this system employs a Multi-Dimensional Confluence Engine to isolate high-probability setups. By synthesizing momentum vectors, multi-timeframe structural bias, and institutional volume flow, PINE PRO delivers a clean, actionable interpretation of market dynamics.
Designed for both scalpers and swing traders, the V2.1 architecture integrates automated risk management with real-time data visualization, making it a complete workspace for serious market participants.
Core Features & Intelligence
1. Fractal Trend Synchronization (The Core) At the heart of PINE PRO is a sophisticated Fractal Alignment Algorithm. Before a signal appears on your chart, the system scans up to six higher timeframes in the background. It only validates an entry when the short-term price action aligns seamlessly with the dominant macro trend. This drastically reduces "whipsaws" and ensures you are trading with the flow, not against it.
2. Institutional Volume & Gap Detection Price is nothing without volume. PINE PRO utilizes a Volume-Weighted filter to validate breakouts, ensuring that moves are backed by real participation. Additionally, it automatically detects and highlights:
Liquidity Voids (Gaps): Both Daily and Intraday gaps are marked, serving as magnetic targets for price action.
Momentum Spikes: High-volume candles are color-coded to identify institutional footprints.
3. Adaptive Trend Ribbon The PINE PRO Ribbon provides an instant visual context. Using a non-lagging smoothing algorithm, it filters out minor fluctuations to reveal the true market state (Bullish/Bearish). This acts as your primary "Go/No-Go" gauge—keeping you out of choppy, uncertain markets.
4. Smart Structure & Risk Management
Supply & Demand Zones: The script automatically plots critical reaction levels based on pivot structures, helping you anticipate reversals.
Automated Trade Management: Upon signal confirmation, the system projects 3 dynamic Take Profit levels (based on Reward-to-Risk ratios) and a Trailing Stop Loss, automating the mathematics of risk management.
Exhaustion Alerts: Special "Purple Candle" logic identifies potential trend exhaustion, signaling optimal exit points before a reversal occurs.
5. The Intelligence Dashboard A non-intrusive, on-screen panel provides a real-time health check of the market, displaying:
Multi-Timeframe Trend Heatmap (3m to 4H).
Current Trade Status (Entry, Stop Loss, Levels Hit).
Live Mark-to-Market (MTM) calculations.
Next-Candle Bias Prediction.
How to Use PINE PRO
Entry: Wait for a "BULLISH" or "BEARISH" signal tag.
Confirmation: Ensure the Trend Ribbon color matches the signal. Check the Dashboard to confirm that higher timeframes (e.g., 1H, 4H) are in agreement.
Execution: Use the projected TP1/TP2 levels for exits and respect the Stop Loss lines.
Settings
Risk Mode: Toggle between "Safe" (Conservative, Trend-Following) or "Scalping" (Aggressive, Fast-Response).
Dashboard: Fully customizable position and size to fit any screen resolution.
Disclaimer PINE PRO is an analytical tool for educational purposes. Trading financial markets involves significant risk. Past performance of the algorithm does not guarantee future results.
HOANO A.I PRO [B2]Link indicator : t.me
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HOANO A.I PRO is a special upgrade compared to the previous HOANO A.I PRO version.
HOANO A.I PRO is a custom-built indicator developed by an individual. eloped exclusively for private (invite-only) use. It is designed specifically for analysis and testing purposes
This indicator is not intended for public distribution and may only be applied to charts with the author’s explicit permission. No guarantees or assurances of profit are provided. The indicator is offered “as is” and is intended solely for educational and reference purposes.
If you would like to request access, please contact the author directly
Binary Options Signals Provider M1-H4 [TradingFinder]🔵 Introduction
Binary Options trading is highly sensitive to timing, precision, and short-term price reactions. Unlike other trading styles, entries in binary markets must be executed at exact moments when price behavior, momentum, and liquidity conditions align within a very limited time window.
This Screener is designed to generate Binary Options trading signals based on pure price action analysis, market structure, and liquidity behavior rather than lagging indicators. The signals are not random alerts; they are produced only when price reacts at critical decision points defined by supply and demand zones.
The core logic focuses on how price behaves when it reaches areas of concentrated orders, where liquidity absorption or injection typically leads to fast directional moves. These reactions are evaluated through candlestick structure, momentum shifts, and false breakout behavior, which are essential for short-duration binary setups.
By combining order blocks, Fair Value Gaps, imbalances, and breaker structures with strict candlestick confirmation, this indicator identifies high-probability Long and Short Binary Options signals suitable for short-term expirations across multiple timeframes.
Rather than predicting the market, the indicator reacts to real-time order flow and liquidity interaction, making it a structured and disciplined tool for traders who rely on precise execution in Binary Options environments.
Long Signal :
Short Signal :
🔵 How to Use
The first step is to identify valid structural zones such as order blocks, Fair Value Gaps, imbalances, or breaker structures. These zones represent areas where order flow has previously shown a strong directional response and where future reactions are likely to occur.
Once a zone is identified, the indicator continuously monitors price behavior as it approaches and interacts with that area. A signal is generated only when price reaches a valid zone, liquidity behavior becomes evident, and a confirming candlestick structure forms in alignment with the expected direction.
This approach ensures that Binary Options signals are issued only during moments of active market participation, where short-term directional moves have the highest probability of success.
🟣 Long Signal
A Long Binary Options signal is generated when price reaches a validated demand zone, such as a bullish order block, an unfilled bullish Fair Value Gap, a lower-structure imbalance, or a bullish breaker.
As price enters the demand area, the indicator evaluates whether sell-side liquidity is being absorbed. This is reflected through changes in candlestick structure and momentum behavior.
Confirmation occurs when bullish price action patterns form, including structures such as :
Pin Bars with long lower wicks
Bullish Engulfing patterns
Rejection candles
False breakouts of local lows
Short-term momentum continuation after liquidity sweep
When these conditions align within or near the demand zone, the indicator issues a Long signal, indicating a high-probability bullish reaction suitable for Binary Options execution with short expirations.
🟣 Short Signal
A Short Binary Options signal is generated when price reaches a validated supply zone, such as a bearish order block, a bearish Fair Value Gap, an upper-structure imbalance, or a bearish breaker.
In these areas, price often collects buy-side liquidity above nearby highs before reversing. The indicator monitors this behavior and waits for clear bearish confirmation through candlestick structure and momentum shift.
Bearish confirmation patterns include :
Pin Bars with long upper wicks
Bearish Engulfing patterns
Rejection candles
Indecision followed by strong bearish displacement
False breakouts of local highs
Once price confirms rejection or liquidity exhaustion within or near the supply zone, the indicator generates a Short signal, highlighting a short-term bearish opportunity optimized for Binary Options trading.
🔵 Settings
Last Candle in Signal Direction: When On, a signal is issued only if the last candle moves in the direction required by the signal.
Signal in Nearly Zone : When enabled, the signal becomes valid even if the candle is near the zone rather than strictly inside it. When disabled, only signals formed inside the zone are allowed.
Table on Chart : This setting enables or disables the on chart screener table. When enabled, the table displays signal status, correlation information, and symbol data directly on the chart. When disabled, the chart remains clean with no table overlay.
Number of Symbols : This option controls how many symbol pairs are displayed in the screener table. Users can choose between four or six pairs depending on screen size and personal preference.
Table Size : This setting adjusts the visual scale of the screener table. Smaller sizes are suitable for minimal layouts, while larger sizes improve readability when monitoring multiple pairs simultaneously.
Table Mode : This setting offers two layout styles for the signal table.
Basic mode displays symbols in a single vertical column, using more vertical space and providing straightforward readability.
Extended mode arranges symbols in pairs side by side, optimizing screen space with a more compact and efficient layout.
Table Position : This option defines where the screener table is placed on the chart. The table can be positioned in any corner or central area to avoid overlapping with price action or other indicators.
🔵 Conclusion
Binary Options trading requires precise timing, disciplined execution, and a clear understanding of short-term market behavior. This indicator is built on the principle that high-quality binary signals emerge not from prediction, but from real-time price reactions at key liquidity zones. By combining supply and demand analysis with structural elements such as order blocks, Fair Value Gaps, imbalances, and breaker structures, the indicator filters out random price movements and focuses only on moments when the market is actively responding to order flow.
Signals are generated exclusively when price reaches a validated zone, liquidity behavior becomes evident, and a confirming candlestick forms at the correct location. This structured process helps reduce emotional or impulsive entries and maintains consistency in execution. Rather than acting as a standalone decision-maker, the indicator functions as a confirmation and timing tool, assisting traders in identifying high-probability Long and Short Binary Options setups across multiple timeframes while remaining aligned with the underlying mechanics of price and liquidity.
Elliott Wave Helper (Non-Repainting, Pivot-Confirmed)Elliot wave helper, non repainting, pivot confirmed
Elliott Wave Helper (Non-Repainting, Pivot-Confirmed)Elliot Wave helper, non repainting , pivot confirmed
Mounir Delta Wave HistogramMounir Delta Wave Histogram is a professional volume-based indicator designed to visualize directional market waves using estimated volume delta.
It accumulates buying and selling pressure across price movements to form clear histogram blocks that represent bullish and bearish waves. Each wave displays:
• Total traded volume
• Volume delta (buyers vs sellers)
• Delta percentage
• Time duration of each wave
This allows traders to quickly identify:
✔ Strong momentum moves
✔ Hidden divergence between price and volume
✔ Trend continuation and exhaustion
✔ Shifts in market pressure
The indicator offers multiple display modes, customizable colors, wave inversion options, and alert conditions for key thresholds and new wave formations.
📊 Compatible with all markets including Futures, Forex, Crypto, Stocks, and Indices — anywhere volume data is available.
Ideal for:
• Order flow analysis
• Momentum trading
• Scalping & swing trading
• Trend confirmation
Nine Departures如有疑问联系作者微信:daojia199
三大核心指标:构建专业级市场决策矩阵
1. 多空波浪-资金K线融合体系
该指标开创性地将波浪理论动力学与机构级资金流向分析进行跨维度耦合。通过智能识别艾略特波浪相位,同步叠加高频资金K线(Capital K),形成独特的“波浪-资本”双频共振图谱。系统以色彩流体力学可视化多空博弈强度,资金流差值的潮汐效应直接映射主力仓位布局,使隐藏在价格背后的筹码迁移轨迹转化为可编程交易逻辑。
2. 资金动能实时监测仪
搭载微观市场结构(Microstructure)解析算法,该监测仪实现每秒级的资本脉冲扫描。通过分解逐笔成交的流动性来源,精准标识主动性买单/卖单的动能压强值。独创的“动能热力图谱”以三维色谱呈现资金涌入速率、沉淀阈值及撤离轨迹,配合极坐标预警系统,在机构级资金异动初期即触发量子钟式警报,为高频策略与风控部署提供粒子级数据支撑。
3. MACD 趋势动量中枢
作为全球量化分析师公认的“趋势动能基准”,MACD(异同移动平均线)通过三重精密算法层构建多维信号引擎:快慢线差分系统揭示多空动能转换,信号线平滑机制过滤市场噪声,柱状图能量场量化涨跌加速度。它不仅捕捉趋势共振的黄金节点,更通过背离预警机制提前预判行情反转,是架构中长期仓位管理的战略级导航仪。
If you have any questions, contact the author via WeChat: daojia199
Three Core Indicators: Building a Professional Market Decision Matrix
1. Bull-Bear Wave & Capital K-Line Fusion System
This indicator innovatively integrates wave theory dynamics with institutional-level capital flow analysis across dimensions. By intelligently identifying Elliott Wave phases and synchronously overlaying high-frequency Capital K-Lines, it forms a unique "Wave-Capital" dual-frequency resonance map. The system visualizes the intensity of bull-bear competition through color fluid dynamics, where the tidal effects of capital flow differentials directly reflect the positioning of major market participants. This transforms the hidden trajectory of chip migration behind price movements into programmable trading logic.
2. Real-Time Capital Momentum Monitor
Equipped with a microstructure analysis algorithm, this monitor achieves second-level capital pulse scanning. By decomposing the liquidity sources of逐笔逐笔 transactions, it accurately identifies the kinetic pressure values of active buy and sell orders. The独创独创 "Momentum Heatmap" presents the speed of capital inflow,沉淀沉淀 thresholds, and withdrawal trajectories in a three-dimensional color spectrum. Coupled with a polar coordinate early warning system, it triggers quantum clock-style alerts at the initial stage of institutional capital anomalies, providing particle-level data support for high-frequency strategies and risk control deployment.
3. MACD Trend Momentum Hub
Recognized globally by quantitative analysts as the "Trend Momentum Benchmark," the MACD (Moving Average Convergence Divergence) constructs a multidimensional signal engine through triple precision algorithm layers: the fast-slow line differential system reveals shifts in bullish and bearish momentum, the signal line smoothing mechanism filters market noise, and the histogram energy field quantifies the acceleration of price movements. It not only captures golden nodes of trend resonance but also predicts market reversals in advance through divergence warning mechanisms, serving as a strategic navigation tool for medium- to long-term position management.
JD Moon Scalping Naked with 15minutes and Daily BOXမင်္ဂလာပါ၊ ကျွန်တော် JD MOON ပါ။
JD MOON Scalping Indicator ဆိုတာကတော့ 15-Minute Opening Range ကို အခြေခံပြီး ဈေးကွက်ရဲ့ Breakout အခွင့်အလမ်းတွေကို အမိအရ ဖမ်းယူနိုင်ဖို့ ဖန်တီးထားတဲ့ Trend Following Indicator တစ်ခု ဖြစ်ပါတယ်။
💡 တွေးခေါ်မြော်မြင်မှုနှင့် ရည်ရွယ်ချက် (Methodology)
ဒီ Indicator ကို Scalping အတွက် အဓိက ရည်ရွယ်ပြီး ဖန်တီးထားတာ ဖြစ်ပေမယ့်၊ Indicator တစ်ခုတည်းကို မျက်စိမှိတ် အားကိုးဖို့ မဟုတ်ပါဘူး။ ခိုင်မာတဲ့ Price Action နည်းစနစ်တွေနဲ့ ပေါင်းစပ်အသုံးပြုဖို့ ဒီဇိုင်းထုတ်ထားတာ ဖြစ်ပါတယ်။ တစ်ရက်တာရဲ့ Daily Range Box အတွင်းမှာ အမြတ်အစွန်း ရှာဖွေနိုင်ဖို့အတွက် အောက်ပါ Tools တွေကို တစ်နေရာတည်းမှာ စုစည်းပေးထားပါတယ်-
15m Opening Range Box: ဈေးကွက်အဖွင့် ၁၅ မိနစ်ရဲ့ High/Low ကို အခြေခံပြီး Breakout ကို စောင့်ကြည့်နိုင်ခြင်း။
Daily Range Analysis: မနေ့က High/Low (Yesterday Box) ကို ကြည့်ပြီး ယနေ့ဈေးကွက်ရဲ့ အလားအလာကို ခန့်မှန်းနိုင်ခြင်း။
Pivot Points (R1-R5, S1-S5): အဓိက ကျရောက်နိုင်တဲ့ Support နဲ့ Resistance Levels တွေကို ကြိုတင်မြင်တွေ့နိုင်ခြင်း။
Volume & RSI Dashboard: ဈေးကွက်ရဲ့ အင်အား (Strength) နဲ့ Volume အခြေအနေကို Real-time စစ်ဆေးနိုင်ခြင်း။
EMA Cloud (Trend Analysis): လက်ရှိ Trend ရဲ့ အတက်အကျ အရှိန်အဟုန်ကို ခွဲခြားနိုင်ခြင်း။
🎯 အသုံးပြုသူများအတွက် အကြံပြုချက်
ဒီ Tool ဟာ Chart Patterns, RSI, Pivot Points နဲ့ Volume တို့ကို စနစ်တကျ ပေါင်းစပ်သုံးစွဲတတ်သူတွေအတွက် အကောင်းဆုံး လက်နက်တစ်ခု ဖြစ်လာမှာပါ။ စည်းကမ်းရှိတဲ့ Scalper တစ်ယောက်အနေနဲ့ တစ်နေ့တာ အမြတ်ကို ပန်းတိုင်ရောက်အောင် ရှာဖွေရာမှာ ဒီ Indicator က အထိရောက်ဆုံး ကူညီပေးပါလိမ့်မယ်။
📩 ဆက်သွယ်ရန် (Contact Info)
ဒီ Indicator ရဲ့ အသုံးပြုပုံအသေးစိတ်နဲ့ အလုပ်လုပ်ပုံ နည်းစနစ်တွေကို ပိုမိုစိတ်ဝင်စားလို့ မေးမြန်းချင်တယ်ဆိုရင်တော့ ကျွန်တော့်ရဲ့ Email ဖြစ်တဲ့ jdmoon7@gmail.com ကနေတစ်ဆင့် တိုက်ရိုက်ဆက်သွယ် မေးမြန်းနိုင်ပါတယ်ခင်ဗျာ။
Market Structure Master [Takeda Trades 2026]Market Structure Master
by @TakedaTradesOfficial
v1 01/26/2026
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DESCRIPTION:
5 MODES. COMPLETE MARKET STRUCTURE.
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MODES
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1. LONG - BUY at lows, TARGET at highs + Auto SL/TP
2. SHORT - SELL at highs, TARGET at lows + Auto SL/TP
3. HH LL - Labels Higher Highs and Lower Lows
4. NUMBERED - Sequential (#1, #2, #3...)
5. COLORED - Gradient (Bright→Dark)
Multi-timeframe • Auto SL/TP • Bar colors • Full customization
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HOW TO TRADE
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📈 LONG | 📉 SHORT
1. Label appears (BUY at low / SELL at high)
2. Price breaks line
3. Bar colors (green/red)
4. Auto SL + TP appear
5. Exit at TP/TARGET
Entry: Line break + Color | Stop: SL line | Target: TP/TARGET
🔢 NUMBERED
Conservative: #1 only | Moderate: 70% #1, 30% #2 | Aggressive: 50-30-20
Warning: #1-2 Safe | #3-4 Reduce | #5+ Exit
🎨 COLORED
Bright → ENTER | Medium → HOLD | Dark → EXIT
⚡ HH LL
Uptrend: HH series | Downtrend: LL series | Reversal: First opposite
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STRATEGIES
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Multi-Timeframe: Higher TF pivots on lower TF (1m+5m, 15m+1H, 4H+Daily)
Confluence: 2 instances, different TFs. Enter when both signal.
Pyramiding: #1: Full | #2: 50% | #3: 25% | #4+: No entry
Momentum: Trade bright colors only. Exit medium, avoid dark.
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SETTINGS
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Scalp: 3/3, LONG/SHORT | Day: 5/5, NUMBERED/COLORED | Swing: 10/10, HH LL
Lower bars = More signals | Higher bars = Quality
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QUICK START
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1. Select mode
2. Choose timeframe
3. Set bars (5/5 default)
4. Enable SL/TP
5. Wait for label + line break
6. Enter on color change
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TIPS
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✓ Wait for line break | ✓ Use SL | ✓ Scale with NUMBERED | ✓ Bright colors only | ✓ Higher TF = Quality
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⚠️ DISCLAIMER
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Educational only. Use risk management. Past results don't guarantee future.
© 2026 Takeda Trades
CHRONOLIQUIDATIONS CASCADE PRO [Takeda Trades 2026]CHRONOLIQUIDATIONS CASCADE PRO
by @TakedaTradesOfficial
v1 01/26/2026
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DESCRIPTION
ChronoLiq Cascade Pro is an advanced liquidation hunting indicator designed for aggressive traders who capitalize on market volatility and liquidity grabs. This indicator identifies high-probability reversal zones by tracking liquidation cascades from hourly and 30-minute time markers. The system plots 25 multi-leverage liquidation levels (50x-1000x) and generates precise BUY/SELL signals when price triggers these critical zones, allowing you to profit from the explosive moves that follow mass liquidations.
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KEY FEATURES:
Precision Time Markers : Yellow lines mark hourly candles (XX:00), orange lines mark 30-minute candles (XX:30) with open, close, midpoint, high, and low levels
25 Liquidation Zones Per Marker : Automatically plots liquidation levels from 50x to 1000x leverage for both long and short positions
Smart Signal System : BUY signals trigger when long liquidations hit (downside exhaustion), SELL signals when short liquidations hit (upside exhaustion)
ALPHA POINTS PRO Mode : Revolutionary profit-tracking system with 4 color-coded diagonal lines showing optimal exit strategies
Stack Liquidations Feature : Displays all leverage levels hit in current sequence (💥50x💥100x💥200x) for maximum insight
Multiple Label Modes : Choose from Standard, Numbered (#1, #2, #3), Colored gradient (intensity-based), Liquidation levels, or full ALPHA POINTS PRO
Fibonacci & Standard Deviation Levels : Optional technical confluence levels (0.236-3.618 Fib, 1x-15x StdDev)
Intelligent Candle Coloring : Visual system highlights hourly markers (yellow/orange) and liquidation events (gradient green/red)
Works on ALL Timeframes : Automatically adjusts calculations for seconds, minutes, or hourly charts
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HOW TO TRADE
OPTIMAL SETUP:
Apply indicator to your preferred timeframe ( 1-5min for scalping, 15min-1hr for swing trades )
Enable " ALPHA POINTS PRO " label mode in settings for complete profit-tracking system
Turn on " Stack Liquidations " to visualize the full cascade sequence
Activate " Inverse Liquidation Colors " (Long=Green, Short=Red) for intuitive visual feedback
Adjust label sizes for optimal chart clarity ( Small for BUY/SELL, Normal for emojis )
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CORE TRADING STRATEGY:
LIQUIDATION CASCADE ENTRIES:
BUY Signal (Long Entry) : Enter long positions when price hits liquidation zones below the hourly/30-min close. This indicates long liquidations are triggering, downward pressure is exhausting, and a reversal bounce is imminent. The more leverage levels hit ( 200x, 500x, 1000x ), the stronger the expected bounce.
SELL Signal (Short Entry) : Enter short positions when price hits liquidation zones above the hourly/30-min close. Short liquidations are cascading, upward momentum is exhausting, and a reversal dump is likely. Higher leverage hits = stronger reversal potential.
Signal Confirmation : The numbered sequence ( BUY #1, #2, #3 ) shows continuation strength. BUY #1 is initial signal, #2-3 show the cascade intensifying. Multiple sequential signals = higher conviction setups . When you see 💥50x💥100x💥200x stacked together, this is a prime entry .
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ALPHA POINTS PRO EXIT SYSTEM:
The diagonal lines provide 4 distinct exit strategies based on your risk tolerance:
Yellow Lines (Conservative) : Close your entire position when the first opposite signal triggers. This locks in quick 20-40% gains with minimal drawdown risk. Best for scalpers and beginners.
Orange Lines (Balanced) : Hold positions until price makes its 1st Higher High (for longs) or 1st Lower Low (for shorts). This captures 50-100% of the major move while avoiding premature exits. Recommended for most traders.
Darker Orange Lines (Aggressive) : Wait for the 2nd Higher High or Lower Low before closing. This maximizes profit potential but increases drawdown risk. Targets 100-200%+ gains on strong trending moves.
Blue MAX OPTIMAL Lines (Maximum Profit) : The ultimate exit strategy. These lines only close after an opposite signal confirms AND price makes a new HH/LL. This captures the absolute maximum profit from liquidation cascades. Use for high-conviction setups only.
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ADVANCED RISK MANAGEMENT:
Position size increases with leverage level: 50x-100x = standard size, 200x-500x = 1.5x size, 500x-1000x = 2x size
Stop Loss Placement : Set stops 10-20 pips beyond the most recent hourly high (shorts) or low (longs)
Profit Scaling : Close 30-50% at yellow lines, 30% at orange, let final 20-40% run to blue targets
Time Filters : Highest win rate during major market opens ( London 8-10am, New York 1-3pm GMT )
Avoid trading during low-liquidity hours ( typically 10pm-2am GMT )
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POWER USER TIPS:
Stack multiple timeframes: Use 1hr liquidations for trend direction, 15min for precise entries
Watch for "rejection wicks" at liquidation levels - these confirm the reversal
Fibonacci levels add confluence: liquidations at Fib levels = highest probability setups
Volume spikes + liquidation signals = institutional participation confirmed
The gradient color intensity shows liquidation severity ( bright = extreme, dark = moderate )
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BEST MARKETS: Cryptocurrency perpetual futures ( BTC, ETH, SOL ), volatile forex pairs ( GBPJPY, XAUUSD ), and high-beta indices ( NAS100, US30 ).
[Sumit Ingole] 200-EMA SUMIT INGOLE
Indicator Name: 200 EMA Strategy Pro
Overview
The 200-period Exponential Moving Average (EMA) is widely regarded as the "Golden Line" by professional traders and institutional investors. This indicator is a powerful tool designed to identify the long-term market trend and filter out short-term market noise.
By giving more weight to recent price data than a simple moving average, this EMA reacts more fluidly to market shifts while remaining a rock-solid trend confirmation tool.
Key Features
Trend Filter: Instantly distinguish between a Bull market and a Bear market.
Price above 200 EMA: Bullish Bias
Price below 200 EMA: Bearish Bias
Dynamic Support & Resistance: Acts as a psychological floor or ceiling where major institutions often place buy or sell orders.
Institutional Benchmark: Since many hedge funds and banks track this specific level, price reactions near the 200 EMA are often highly significant.
Reduced Lag: Optimized exponential calculation ensures you stay ahead of the curve compared to traditional lagging indicators.
How to Trade with 200 EMA
Trend Confirmation: Only look for "Buy" setups when the price is trading above the 200 EMA to ensure you are trading with the primary trend.
Mean Reversion: When the price stretches too far away from the 200 EMA, it often acts like a magnet, pulling the price back toward it.
The "Death Cross" & "Golden Cross": Use this in conjunction with shorter EMAs (like the 50 EMA) to identify major trend reversals.
Exit Strategy: Can be used as a trailing stop-loss for long-term positional trades.
Best Used On:
Timeframes: Daily (1D), 4-Hour (4H), and Weekly (1W) for maximum accuracy.
Assets: Highly effective for Stocks, Forex (Major pairs), and Crypto (BTC/ETH).
Disclaimer: This tool is for educational and analytical purposes only. Trading involves risk, and it is recommended to use this indicator alongside other technical analysis tools for better confirmation.
HOANO ALGO❤️ Link indicator : t.me
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HOANO ALGO : is a special, custom-designed indicator. It is a private (invite-only) indicator, created specifically for analysis and testing purposes.
This indicator is not intended for public use and requires the author’s permission before being applied to any chart. There are no guarantees or assurances of profit. The indicator is provided “as is” and is for educational and reference purposes only.
If you wish to be granted access, please contact the author directly.
Condicion2Indicates with shading Strength at the beginning of wave 3, in the form of a blue candle + strong green (below)
V1PRO Harmonic ScannerENGLISH (read first)
V1PRO Harmonic Scanner is an invite-only indicator that scans price action for harmonic XABCD structures across multiple sensitivity levels and visualizes potential reversal zones (PRZ) directly on the chart. It is built for discretionary traders who want a clean, configurable workflow plus structured alert output.
Core features
• Multi-scanner engine: up to 10 independent scanners with adjustable pivot level/depth and per-scanner tolerance factor.
• Harmonic pattern families supported (toggle each): Gartley, Bat, Butterfly, Crab, Deep Crab, Alternate Bat, Shark, Cypher.
• Quality scoring & filtering: xScore-based ranking to prioritize higher-quality candidates and reduce chart noise (with advanced scoring options).
• PRZ engine: selectable PRZ calculation modes, wick/close hit logic, optional freeze after hit, and configurable PRZ visibility (fill/lines).
• Visual control: global slot colors, line widths, label sizing, tag offsets, optional xScore color effect on pattern visuals, and transparency controls.
• Alerts (non-spam): “Detected” and “PRZ Hit” events, global + per-scanner inclusion, optional “Max N per bar” limiter, and output as Text or JSON (template-based).
How it works (high-level)
The script builds candidates from confirmed pivot structure, validates harmonic relationships within user-defined tolerances, derives a PRZ area, and then manages the on-chart visualization and alert output. Signals appear after pivots are confirmed (this can introduce natural delay versus real-time price).
Quick start
1) Add the script and begin with defaults.
2) Use the global History / maxPattern / xScore filter to control chart density and performance.
3) Choose your PRZ mode and hit trigger (Wick vs Close).
4) Enable/disable scanners or adjust their pivot level/depth to match your preferred sensitivity.
5) Fine-tune pattern toggles and tolerances if needed.
Alert setup
Create a TradingView alert on this indicator and select “Any alert() function call”. The script emits consolidated alerts once per bar close and can output either human-readable text or structured JSON for automation.
Notes & limitations
• This is a pattern/zone visualization and alerting tool — not financial advice and not a guarantee of results.
• Pivot confirmation can delay when patterns appear; reduce history/scanners if you need lighter performance.
• Debug/backtest tools (if enabled) are research aids and use simplified assumptions.
Trend-Based Fibs: Static Labels at StartThis indicator automatically projects Fibonacci extension levels and "Golden Zones" starting from the opening price of a new period (Daily or Weekly). By using the previous period’s range (High-Low) as the basis for volatility, it provides objective price targets and reversal zones for the current session.
How it Works Unlike standard Fibonacci Retracements that require manual drawing from swing highs to lows, this tool uses a fixed anchor method: The Range: It calculates the total range of the previous day or week.
The Anchor: It sets the current period's opening price as the "Zero Line."The Projection: It applies Fibonacci ratios ($0.236$, $0.5$, $0.786$, $1.0$, and $1.618$) upward and downward from that opening price.
Key Features Automated Levels: No more manual drawing. Levels reset and recalculate automatically at the start of every Daily or Weekly candle. Bullish & Bearish Zones: Instantly see extensions for both directions. The "Golden Zones": Highlighted boxes represent the high-probability $0.236$ to $0.5$ zones for both long and short continuations. Previous Period Levels: Optional toggles to show the previous High and Low, which often act as major support or resistance.
Integrated EMAs: Includes two customizable Exponential Moving Averages (default 20 and 100) to help you stay on the right side of the trend.
Clean Visuals: Labels are pinned to the start of the period to keep your charts uncluttered while lines extend dynamically as time progresses.
How to Trade with it Trend Continuation: If price opens and holds above the $0.236$ bullish level, look for the $0.618$ and $1.0$ levels as targets.
Reversals: Watch for price exhaustion at the $1.618$ extension, especially if it aligns with an EMA or a Previous High/Low.
Gap Plays: Excellent for "Opening Range" strategies where you use the first close of the day as the pivot point for the extensions.
Structura [Wave Engine] v18.1b]STRUCTURA v18.1 is a quantitative market profiling system based on the rigorous methodology of Glenn Neely’s Mastering Elliott Wave (NeoWave).
Unlike standard Elliott Wave indicators that rely solely on price geometry, the Wave Engine incorporates Time Analysis as a primary weighting factor. It treats Price, Time, and Complexity as unified data points to generate objective structure labels, probability clouds, and forecasting zones.
🎨 The Painting Policy (Strict Non-Repainting) This engine is built for professional execution. Historical Stability: Historical wave labels are stored in persistent arrays and do not recalculate once a monowave is confirmed by the Neutrality Threshold. Projection Logic: Forecast zones and dual-count scenarios are projected from the last confirmed data point. They do not vanish mid-trade; they remain until invalidated by price action or time expiration.
🏛 The Neely Method Difference Standard Elliott Wave is often subjective. The Structura Wave Engine applies strict NeoWave rules to objectify the chart: Monowave Analysis: Breaks price action down into basic units using a specific Zigzag Depth and Neutrality Check to filter noise. Structure Labels: Assigns specific NeoWave labels (:3, :5, :F3, :L5, :s5) based on Retracement Rules (R1-R7) and Time Symmetry. Advanced Patterns (Post-1990): Unlike basic scripts, this engine detects complex Neely patterns including Diametrics (7-leg), Symmetricals (9-leg), and Neutral Triangles.
⚙️ Key Features in v18.1
1. Bull/Bear Dual View & Probability Cloud The engine does not force a single bias. It runs simultaneous simulations to present both the Bullish and Bearish interpretations of the current structure. Probability Scoring: Each scenario is assigned a confidence score (e.g., 75%) based on Pattern Completion, Time Similarity, and Rule Adherence. Dual Panel: A dashboard displays the competing counts side-by-side with invalidation levels and targets.
2. Time Analysis & 45° Scaling NeoWave requires charts to be squared (Price/Time symmetry). Time Similarity: The engine highlights adjacent waves that possess "Time Similarity" (within 20% duration), a crucial factor for pattern grouping. 45° Scaler: Calculates the optimal Price-to-Bar ratio for the current asset to ensure accurate wave identification.
3. 0-B Channels & Thrust Targeting 0-B Channels: Automatically draws the critical 0-B trendline for Zigzags and Flats to confirm pattern termination. Triangle Thrust: Upon detecting a Triangle, the engine projects the specific "Thrust Zone" (75-125% of the widest leg) expected upon breakout.
4. Multi-Timeframe (MTF) Confluence The engine checks the Higher Timeframe (HTF) trend to validate the current wave count. Signals are flagged as "Confluent" or "Divergent" based on the HTF momentum.
📋 Supported Patterns The engine automatically scans for: Impulses: Trending patterns (:5-:3-:5-:3-:5) with 2-4 Channel validation. Corrections: Flats, Zigzags, and Triangles. Complex Formations: Diametrics (Bow-Tie/Diamond) and Symmetricals.
⚠️ Disclaimer Trading involves high risk. This tool is an automated implementation of the Neely Method and is intended for educational and analytical purposes only. Past performance of wave counts does not guarantee future results.
NEXARA INDIA (FREE)best for sensex/nifty
use heikinashi candle for best result
use lower timeframe for scalping or short term trend
follow candle's color on entry candle/ after entry
follow "ZONE BREAKOUT" on entry candle
HOANO All inOne BS Link indicator : t.me
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HOANO All inOne BS: is a special, custom-designed indicator. It is a private (invite-only) indicator, created specifically for analysis and testing purposes.
This indicator is not intended for public use and requires the author’s permission before being applied to any chart. There are no guarantees or assurances of profit. The indicator is provided “as is” and is for educational and reference purposes only.
If you wish to be granted access, please contact the author directly.






















