Liquidity Hunter PRO FINAL ✅Liquidity Hunter PRO ✅ is a smart tool designed for traders who want to spot key liquidity sweeps and hunt stop runs with precision.
🔑 How it works:
Automatically plots significant swing highs and lows (liquidity levels) using pivots.
Monitors these levels in real-time and detects when price sweeps above highs or below lows.
Draws clear lines, boxes, and sweep zones to visualize where liquidity was grabbed.
Highlights BUY/SELL opportunities after stop hunts with clean triangle markers and labels.
Fully customizable: set pivot lookback, maximum levels, line age, buffer zone, and visual style.
📌 Features:
✔️ Automatic swing high/low detection
✔️ Dynamic liquidity sweep boxes
✔️ BUY/SELL labels and triangle signals
✔️ Alerts for sweeps above highs and below lows
✔️ Adjustable buffer and line lifetime
✔️ Lightweight, clear and easy to use
💡 Idea: This script helps traders follow Smart Money Concepts (SMC) by showing where the market hunts liquidity before reversals. Combine with your own confluence and strategy for powerful entries.
⚠️ Reminder: Always use this tool with proper risk management — it does not guarantee entries by itself.
Indicators and strategies
Zen CSC Bar Strategy v1🧠 Zen Consecutive Bar Strategy — Research Tool (Trend + Reversal)
**Description:**
This strategy is designed as a flexible research tool for studying price behavior following consecutive bull or bear bars. It allows users to explore breakout and reversal scenarios with full control over trade entry and filtering logic.
**🔧 Key Features:**
* **Configurable bar sequence**: Detects customizable streaks of consecutive bull or bear bars.
* **Trend or Reversal mode**: Toggle between breakout-style entries or fade/reversal-style setups.
* **MA-based filter**: Optionally restrict trades to occur above or below the 20-period moving average.
* Longs can be limited to above/below MA
* Shorts can be limited to above/below MA
* **Customizable R-multiple targets**: Choose between 0.5R, 1R, 1.5R, or 2R reward targets.
* **Stop loss logic**: Uses syminfo.mintick to offset stops by 1 tick beyond the pattern high/low.
* **Entry logic**: Buy/Sell either on the close of the setup bar or on breakout beyond high/low.
* **Trade direction**: Enable long-only, short-only, or both.
**📊 Research Use Only:**
This is not a ready-to-trade system. It’s intended to help traders test ideas and collect performance stats under different configurations. Use it to:
* Evaluate the failure rate of open spikes
* Study behavior following strong directional bars
* Compare trend-following vs mean-reversion edge across sessions
**❗Disclaimer:**
This script is for educational purposes only. It does not constitute financial advice. Past performance does not guarantee future results.
Advanced Range Theory - ART📊 Advanced Range Theory (ART): The Institutional Blueprint
Stop drawing lines. Start reading the blueprint of the market. Advanced Range Theory (ART) is not another support and resistance indicator; it is a military-grade market structure engine designed to decode the language of institutional capital. It operates on a single, powerful premise: markets move in phases of consolidation and expansion, and the key to anticipation lies in understanding the complete lifecycle of these phases.
ART provides a living, breathing map of the battlefield, identifying institutional accumulation zones and tracking them with unparalleled precision from their inception as "Pending" ranges to their ultimate classification after a breakout. This is your X-ray into the market's skeletal structure.
🔬 THEORETICAL FRAMEWORK: THE ARCHITECTURE OF PRICE ACTION
ART is built on a multi-layered system of logic that moves beyond static levels. It treats ranges as dynamic entities with a narrative—a beginning, a middle, and an end. The core of the system is the dynamic classification engine, which analyzes not just the range, but the character of the price action that resolves it.
1. The Range Lifecycle: From Accumulation to Classification
This is the revolutionary heart of ART. A range's true identity is only revealed by how it is broken.
Phase 1: PENDING (Yellow): A new range is identified based on a period of price consolidation (a "parent" candle followed by a minimum number of "inside" candles). At this stage, it is a neutral zone of potential energy—an area where institutions are likely building positions. It is a question the market has not yet answered.
Phase 2: MITIGATION & CLASSIFICATION: When price breaks out and reaches a calculated extension level, the range is considered "mitigated." At this exact moment, ART analyzes the breakout's DNA to classify the range's true intent:
TYPE 1 - BREAKOUT (Blue): Characterized by a strong, impulsive move with confirming volume. This is a high-conviction breakout, signaling aggressive institutional participation and the likely start of a new trend. It is a statement of intent.
TYPE 2 - REVERSAL (Orange): Occurs when price attempts to break one way but is aggressively rejected, reversing and breaking out the other side. This signals absorption and a "failed auction," often marking significant market turning points.
TYPE 3 - PIVOT (Green): A more balanced breakout, lacking the explosive momentum of a Type 1. This often represents a resolution after a period of indecision or a pivot within a larger trading range.
2. The Hierarchical Map: Source & S/R Levels
ART doesn't just draw boxes; it builds a genealogical map of market structure.
SOURCE LEVEL (Thick Gold Line): This is the "genesis" point—the most recently mitigated range. It acts as the primary point of origin for the current market swing and serves as a critical level for determining overall bias. Price action above the Source is generally bullish; below is bearish.
S/R LEVELS (Cyan Lines): When a range is mitigated, the price level where it broke becomes a key Support/Resistance zone for the future. ART tracks the two most recent S/R levels, as these often act as powerful magnets or rejection points for price.
3. The Multi-Factor Validation Engine
To eliminate noise and focus only on institutionally significant ranges, every potential range must pass a rigorous quality control check:
Time-Based Consolidation: Requires a minimum number of consecutive inside candles (minInsideCandles), ensuring a true period of balance.
Volatility-Based Significance: The range's size must be greater than a multiple of the Average True Range (minRangeSize), filtering out insignificant micro-consolidations.
Participation Confirmation: The parent candle of the range is checked against average volume to ensure there was meaningful activity during its formation.
⚙️ THE COMMAND CONSOLE: CONFIGURING YOUR ART ENGINE
Every input is designed to give you granular control over the detection engine, allowing you to tune ART to any market or timeframe with precision. Each tooltip in the script provides a deep dive, but here is a summary of the core controls.
🎯 ART Detection Engine
Minimum Inside Candles: The soul of the detection algorithm. It defines the minimum number of bars that must be contained within a single "parent" candle to qualify as a range. Higher values (3-4) find major, significant consolidation zones. Lower values (1-2) are more sensitive and will identify shorter-term accumulation patterns.
Extension Multiplier & Fibonacci Extension: These control the profit target projections. The Extension Multiplier uses a simple measured move (e.g., 1.0 = a 1:1 projection of the range's height). The Fibonacci Extension uses the golden ratio (1.618) for harmonically-derived targets.
Mitigation Method (Cross vs. Close): Determines how a breakout is confirmed. Cross is more responsive, triggering as soon as price touches the extension. Close is more conservative, requiring a full candle to close beyond the level, which helps filter out fake-outs from wicks.
Min Range Size (ATR): A crucial noise filter. It ensures that ART ignores tiny, insignificant ranges by requiring a range's height to be a certain multiple of the current market volatility (ATR).
📊 Display & Visual Configuration
These settings give you full control over the visual interface. You can toggle every single element—from the Webb Scanner to the S/R Levels—to create a clean or a comprehensive view. Choose a color theme that suits your charting environment or define a fully custom palette.
🕸️ Webb Analysis Scanner
This is a unique real-time flow analysis tool. It draws dynamic, animated lines from the current price to recent historical points. This visualization helps reveal hidden "tendrils" of momentum and short-term support/resistance that are not immediately obvious, acting as a "sonar" for immediate price flow.
📊 THE ANALYTICS HUB: YOUR DASHBOARD DECODED
The dashboard provides a real-time, at-a-glance intelligence briefing on the current state of market structure as seen by the ART engine.
RANGE METRICS: This section is a "census" of the market's structure. It tells you the total number of ranges identified, how many are still Pending (awaiting a breakout), how many are Unmitigated (active but not yet broken), and how many have been Mitigated (classified and complete).
TYPE BREAKDOWN: This is a powerful gauge of market character. A high count of Type 1 (Breakout) ranges suggests a strong, trending environment. A rising number of Type 2 (Reversal) ranges can signal market exhaustion and potential trend changes. A dominant Type 3 (Pivot) count indicates a balanced, rotational market.
KEY GUIDE: The Large dashboard includes a full legend, so you never have to guess what a line or color represents. It's your built-in user manual.
🎨 DECODING THE BLUEPRINT: A VISUAL INTERPRETATION GUIDE
Every line and color in ART is designed for instant, intuitive understanding.
The Range Lines:
Yellow Lines: A Pending range. This is an active zone of accumulation. Pay close attention.
Colored Lines (Blue/Orange/Green): An unmitigated, classified range. The color tells you its breakout character.
Dotted Lines: A Mitigated range. Its story has been told. These historical levels can still act as support or resistance.
The Identification Zones: These colored boxes appear at a range's origin point after it has been classified. They are the "birth certificate" of the range, permanently marking its type (Breakout, Reversal, or Pivot) and providing an immediate visual history of market behavior.
The Hierarchical Lines:
Thick Gold Line (Source): The most important line on your chart. It is the anchor for your bias.
Cyan Lines (S/R): High-probability decision points. Expect reactions here.
Purple Dotted Lines (Extensions): Logical, calculated profit targets for breaking ranges.
🔧 THE ARCHITECT'S VISION: THE DEVELOPMENT JOURNEY
ART was born from a deep frustration with the static and subjective nature of traditional market structure analysis. Drawing lines by hand is inconsistent, and most indicators are reactive, only confirming what has already happened. The goal was to create a proactive, objective, and dynamic framework that could think about the market in terms of phases and lifecycles.
The breakthrough came from a simple shift in perspective: a range's true character isn't defined when it forms, but by how it resolves. This led to the development of the "post-breakout classification engine," which waits for the market to show its hand before assigning a definitive type. The Webb Scanner was inspired by the desire to visualize the unseen, to create a tool that could feel the immediate "pull" and "push" of price flow. The result is not just an indicator; it is a new language for interpreting price action, built on a foundation of logic, clarity, and precision.
⚠️ RISK DISCLAIMER & BEST PRACTICES
Advanced Range Theory is a professional-grade analytical tool designed to enhance a trader's decision-making process. It does not provide direct buy or sell signals. The levels and classifications it generates are based on historical price action and mathematical probabilities. All trading involves substantial risk, and past performance is not indicative of future results. Always use this tool in conjunction with a robust risk management plan.
"I fear not the man who has practiced 10,000 kicks once, but I fear the man who has practiced one kick 10,000 times."
— Dskyz, Trade with insight. Trade with anticipation.
— Bruce Lee
Trend Continuation IndicatorTrend Continuation Indicator
The Trend Continuation Indicator is designed to assist traders in identifying potential continuation setups within established market trends. It is particularly suited for use in strong trending environments and is optimized for lower timeframes, with a recommended chart setting of 5-minute candles and an EMA timeframe set to 1 hour.
The indicator combines multiple technical elements:
RSI (Relative Strength Index): Used to assess potential overbought and oversold conditions relative to the trend.
EMA (Exponential Moving Average): A multi-timeframe EMA is used as a directional filter, helping to align entries with the broader trend.
Candle Structure and Momentum Filters: The logic includes real-time candle analysis and volume dynamics to identify momentum-driven signals.
Buy signals are generated when price action shows bullish momentum and RSI confirms potential oversold conditions within an uptrend. Conversely, sell signals are triggered when bearish momentum aligns with overbought RSI levels in a downtrend.
This tool is intended for use as part of a broader trading strategy and is best applied in trending markets where continuation patterns are more likely to follow through.
THE INDICATOR ITSELF IS NO FINANCIAL ADVISE!
Here are some usecase examples:
Sessions HH/LLSessions HH and LL everything marked with lines, sessions start and finish, compatible with every timeframe and you can hide whole sessions or just little parts of them.
HY-LevelsA very simple indicator that draws the previous 1H, 4H and 1D high and low levels
It's typically used when trading the 1M charts
The various levels can be turned on and off and the line can be extended left, right or in both directions as you prefer.
The code is simple and should be easy to modify to your preferences
Tension Squeeze Clock v1.0🔥 Tension Squeeze Clock v1.0
Forecast explosive market moves before they happen.
The Tension Squeeze Clock is a cyclical compression detector that identifies when the market is storing energy across multiple dimensions — and signals when that energy is about to uncoil.
This indicator combines three critical components:
🔹 RSI Contraction – Detects when momentum is balanced and compressed
🔹 Volatility Squeeze – Measures low standard deviation in price movement
🔹 Range Tension – Flags tight candle ranges relative to average volatility
When all three compressions align, the indicator prints a clear “Squeeze Ready” signal. When the pressure breaks, it signals “Squeeze Uncoiling” — a prime moment to watch for volatility surges or directional breakouts.
📈 Recommended Usage
🔍 This tool works especially well on the Daily timeframe, where coiled conditions often lead to significant price expansions.
Use it to:
Anticipate breakout setups
Confirm coiled consolidation zones
Add timing precision to your volume or divergence-based strategies
📊 Display Options
Panel view with bar colors to reflect compression strength
On-chart labels for squeeze signals
Optional alerts when a squeeze begins or breaks
Whether you're swing trading, trend riding, or timing reversals, the Tension Squeeze Clock helps you see what most indicators miss: the calm before the storm.
🌀 Vortex Trap OscillatorVortex Oscillator Core
Calculates the difference between upward and downward directional price flow.
Spikes in either direction highlight strong directional bias or potential exhaustion.
Trap Signal Logic
A Bullish Trap is signaled when:
Vortex turns strongly negative (false bearish pressure)
There's a volume burst
Buy/sell tension favors buyers
An RSI bullish divergence is detected
A Bearish Trap is signaled under the inverse conditions.
Volume Burst Filter
Compares current volume to a moving average baseline.
Triggers only when volume surges past a dynamic threshold.
Tension Filter
Compares smoothed buy and sell volumes.
Confirms whether aggressive participants are truly in control.
RSI Divergence Filter
Uses pivot-based divergence detection to validate exhaustion signals.
Adds another layer of trap confirmation.
📈 How To Use:
Overlay Mode: Use alongside price action to visually confirm trap signals.
Entry Timing:
Look for trap markers (▲ for bullish traps below bar, ▼ for bearish traps above bar).
Use confirmation from your own system (e.g. candle patterns, support/resistance).
Exit or Fade Strategy:
Consider fading the trap (trading against the move) if it aligns with higher-timeframe confluence.
Watch for reversal candles near trap zones.
🛠 Settings Tips:
Adjust Vortex Period to control trap sensitivity (shorter = more signals, longer = smoother).
Use Volume Burst Threshold to filter out noise on low-volume assets.
RSI Divergence Depth can be increased on higher timeframes for cleaner divergence reads.
🧠 Best Used For:
Detecting false breakouts
Catching mean reversions after stop hunts
Identifying momentum traps in volatile markets
Filtering aggressive moves that lack volume confirmation
Khalid's Custom Forecastthis is very very improved indicator for daly trading .
please analysis and note the S & R
SOL Smart Alert SystemITECS built this to work alongside my AI agent and scripts to provide a robust notification/alert system that can be configured to best work with the current market conditions.
TRIX Strong Hand - DidiTrix (or TRIX) is a technical analysis oscillator developed in the 1980s by Jack Hutson, editor of Technical Analysis of Stocks and Commodities magazine. It shows the slope (i.e., the derivative) of a triple-smoothed exponential moving average. The name Trix comes from "triple exponential."
The TRIX is a triple-smoothed exponential moving average used in technical analysis to track trends.
This is a customized version for use in conjunction with other indicators in the Didi Aguiar's CST Method. It has a standard setting of 9 periods and a 4-period average to signal crossovers. It is used as one of the indicators to detect trade exits, nicknamed "Strong Hand" and described as having "three coconuts between the legs" due to its strong confidence that the trade can continue in the trend.
Apex Edge - RSI Trend LinesThe Apex Edge - RSI Trend Lines indicator is a precision tool that automatically draws real-time trendlines on the RSI oscillator using confirmed pivot highs and lows. These dynamic trendlines track RSI structure in motion, helping you anticipate breakout zones, reversals, and hidden divergences.
Every time a new pivot forms, the indicator automatically re-draws the RSI trendline between the two most recent pivots — giving you an always-current view of momentum structure. You’ll instantly see when RSI begins compressing or expanding, long before price reacts.
Key Features: • Dynamic RSI trendlines drawn from the last 2 pivots
• Auto re-draws in real-time as new pivots form
• Optional "Full Extend" or "Pivot Only" modes
• Slope color-coded: green = support, red = resistance
• Built-in dotted RSI levels (30/70 default)
• Alert conditions for RSI trendline breakout signals
• Ideal for spotting divergence, compression, and early SMC confluence
This is not your average RSI — it’s a fully reactive momentum edge overlay designed to give you clarity, structure, and timing from within the oscillator itself. Perfect for traders using Smart Money Concepts, divergence setups, or algorithmic trend tracking.
⚔️ Built for precision. Built for edge. Built for Apex.
SOL Elliott Wave 4H with Enhanced ProjectionsThis 4H-optimized version includes:
Key Features for 4H Timeframe:
Optimized Default Settings:
Wave Detection Period: 7 (perfect for 4H)
ZigZag Depth: 3% (captures significant moves on 4H)
Visual Indicators:
Small circles mark pivot points as they form
Blue background on the last bar shows script is active
Clean zigzag lines between pivots
Wave numbers at each pivot
Immediate Feedback:
Pivots show up as soon as they're confirmed
Table shows pivots found count
Current price always visible
To Use This:
Add to your 4H SOL chart
You should immediately see:
Small circles marking recent pivots
The info table in top-right
Blue highlight on the current bar
If you don't see lines yet, try:
Reduce Wave Detection Period to 5
Reduce ZigZag Depth to 2%
Make sure you have at least 100-200 bars of history loaded
Fine-tuning for current market:
If SOL is ranging: Lower ZigZag Depth to 2%
If SOL is trending strongly: Increase to 4-5%
The indicator will start drawing zigzag lines and counting waves as soon as it finds valid alternating highs and lows that meet the minimum percentage move requirement.
RSI with 2-Pole FilterA momentum indicator that tells you if a stock is overbought or oversold.
RSI goes between 0 and 100.
70 = overbought (might fall)
<30 = oversold (might rise)
It often looks jagged or choppy on volatile days.
Think of this filter like a momentum smoother:
It still follows RSI closely,
But it doesn’t react to every little jiggle in price,
Which helps avoid false signals.
it keeps track of:
The current RSI,
The last 2 RSI values (inputs), and
The last 2 outputs (filtered RSIs).
It uses feedback to shape the output based on previous values, making it smoother than a simple moving average.
Session Highs and Lows Indicator (DST + Editable Times)Session Highs and Lows Indicator (DST + Editable Times)
PRO SMC DASHBOARDPRO SMC DASHBOARD - PRO LEVEL
Advanced Supply & Demand / SMC dashboard for scalping and intraday:
Multi-Timeframe Trend: Visualizes trend direction for M1, M5, M15, H1, H4.
HTF Supply/Demand: Shows closest high time frame (HTF) supply/demand zone and distance (in pips).
Smart “Flip” & Liquidity Signals: Flip and Liquidity Sweep arrows/signals are shown only when truly significant:
Near HTF Supply/Demand zone
And confirmed by volume spike or high confluence score
Momentum & Bias: Real-time momentum (RSI M1), H1 bias and fakeout detection.
Confluence Score: Objective score (out of 7) for trade confidence.
Volume Spike, Divergence, BOS: Includes volume spikes, RSI divergence (M1), and Break of Structure (BOS) for both M15 & H1.
Ultra-clean chart: Only valid signals/alerts shown; no spam or visual clutter.
Full dashboard with all signals and context, always visible bottom-right.
Best used for:
Forex, Gold/Silver, US indices, and crypto
Scalping/intraday with fast, clear decisions based on multi-factor SMC logic
Usage:
Add to your chart, monitor the dashboard for valid setups, and trade only when multiple factors align for high-probability entries.
How to Use the PRO SMC DASHBOARD
1. Add the Script to Your Chart:
Apply the indicator to your favorite Forex, Gold, crypto, or indices chart (best on M1, M5, or M15 for entries).
2. Read the Dashboard (Bottom Right):
The dashboard shows real-time information from multiple timeframes and key SMC filters, including:
Trend (M1, M5, M15, H1, H4):
Arrows show up (↑) or down (↓) trend for each timeframe, based on EMA.
Momentum (RSI M1):
Shows “Strong Up,” “Strong Down,” or “Neutral” plus the current RSI value.
RSI (H1):
Higher timeframe momentum confirmation.
ATR State:
Indicates current volatility (High, Normal, Low).
Session:
Detects if the market is in London, NY, or Asia session (based on UTC).
HTF S/D Zone:
Shows the nearest high timeframe Supply or Demand zone, its timeframe (M15, H1, H4), and exact pip distance.
Fakeout (last 3):
Detects recent false breakouts—if there are multiple fakeouts, potential for reversal is higher.
FVG (Fair Value Gap):
Indicates direction and distance to the nearest FVG (Above/Below).
Bias:
“Strong Buy,” “Strong Sell,” or “Neutral”—multi-timeframe, momentum, and volatility filtered.
Inducement:
Alerts for possible “stop hunt” or liquidity grab before reversal.
BOS (Break of Structure):
Recent or live breaks of market structure (for both M15 & H1).
Liquidity Sweep:
Shows if price just swept a key high/low and then reversed (often key reversal point).
Confluence Score (0-7):
Higher score means more factors align—look for 5+ for strong setups.
Volume Spike:
“YES” appears if the current volume is significantly above average—big players are active!
RSI Divergence:
Bullish or bearish divergence on M1—signals early reversal risk.
Momentum Flip:
“UP” or “DN” appears if RSI M1 crosses the 50 line, confirmed by location and other filters.
Chart Signals (Arrows & Markers):
Flip arrows (up/down) and Liquidity markers only appear when price is at/near a key Supply/Demand zone and confirmed by either a volume spike or strong confluence.
No signal spam:
If you see an arrow or LIQ tag, it’s a truly significant moment!
Suggested Trading Workflow:
Scan the Dashboard:
Is the multi-timeframe trend aligned?
Are you near a major Supply or Demand zone?
Is the Confluence Score high (5 or more)?
Check for Signals:
Is there a Flip or LIQ marker near a Supply/Demand zone?
Is volume spiking or a fakeout just occurred?
Look for Reversal or Continuation:
If there’s a Flip at Demand (with high confluence), consider a long setup.
If there’s a LIQ sweep + flip + volume at Supply, consider a short.
Manage Risk:
Don’t chase every signal.
Confirm with your entry criteria and preferred session timing.
Pro Tips:
Highest confidence trades:
When dashboard signals and chart arrows/markers agree, especially with high confluence and volume spike.
Adapt pip distance filter:
Dashboard is tuned for FX and gold; for other assets, adjust pip-size filter if needed.
Use alerts (if enabled):
Set up custom TradingView alerts for “Flip” or “Liquidity” signals for auto-notifications.
Designed to help you make professional, objective decisions—without chart clutter or second-guessing!
Nifty Call/Put/Neutral IndicatorThis is based on RSI indicator will tell you if nifty is call put or neutral
DA Cloud - DynamicDA Cloud - Dynamic | Detailed Overview
🌟 What Makes This Indicator Special
The DA Cloud - Dynamic is an advanced technical analysis tool that creates adaptive support and resistance zones that expand and contract based on market volatility. Unlike traditional static indicators, this cloud system "breathes" with the market, providing dynamic levels that adjust to changing market conditions.
📊 Core Components
1. Multi-Layered Cloud Structure
Resistance Cloud (Red): Three dynamic resistance levels (RL1, RL2, RL3) with intermediate channels (RC1, RC2)
Support Cloud (Green): Three dynamic support levels (SL1, SL2, SL3) with intermediate channels (SC1, SC2)
Trend Cloud (Blue): Five trend lines (TU2, TU1, TM, TL1, TL2) that flow through the center
Confirmation Line (Purple): A fast-reacting line that confirms trend changes
2. Forward Displacement Technology
The entire cloud system is projected 21 bars into the future (Fibonacci number), allowing traders to see potential support and resistance levels before price reaches them. This predictive element is inspired by Ichimoku Cloud theory but enhanced with modern volatility dynamics.
🔬 How It Works (Without Revealing the Secret Sauce)
Volatility-Responsive Design
The indicator continuously measures market volatility across multiple timeframes
During high volatility periods (like major breakouts), clouds expand dramatically
During consolidation, clouds contract and tighten around price
This creates a "breathing" effect that adapts to market conditions
Multi-Timeframe Analysis
Incorporates Fibonacci sequence periods (3, 13, 21, 34, 55) for calculations
Blends short-term responsiveness with long-term stability
Creates smooth, flowing lines that filter out market noise
Dynamic Level Calculation
Levels are not fixed percentages or static bands
Each level adapts based on current market structure and volatility
Channel lines (RC1, RC2, SC1, SC2) provide intermediate support/resistance
🎯 Key Features
1. Touch Point Detection
Colored dots appear when price touches key levels
Red dots = resistance touch
Green dots = support touch
Blue dots = trend median touch
2. Entry/Exit Signals
"Cloud Entry" labels when confirmation line crosses above SL1
"Cloud Exit" labels when confirmation line crosses below RL1
Background color changes based on bullish/bearish bias
3. Information Table
Real-time display of key levels (RL1, TM, SL1)
Current bias indicator (BULLISH/BEARISH)
Updates dynamically as market moves
⚙️ Customization Options
Main Controls:
Sensitivity (5-50): How responsive clouds are to price movements
Smoothing (1-50): Controls the flow and smoothness of cloud lines
Forward Displacement (0-50): How many bars to project the cloud forward
Advanced Volatility Settings:
Volatility Lookback (50-1000): Period for establishing volatility baseline
Volatility Smoothing (1-50): Reduces spikes in volatility expansion
Expansion Power (0.1-2.0): Controls how dramatically clouds expand
Range Divisor (1.0-20.0): Master control for overall cloud width
Level Spacing:
Individual multipliers for each resistance and support level
Allows fine-tuning of cloud structure to match different markets
Trend Spacing:
Separate controls for inner and outer trend bands
Customize the trend cloud density
📈 Trading Applications
1. Trend Identification
Price above TM (Trend Median) = Bullish bias
Price below TM = Bearish bias
Cloud color and width indicate trend strength
2. Support/Resistance Trading
Use RL1/SL1 as primary targets and reversal zones
RC1/RC2 and SC1/SC2 provide intermediate levels
RL3/SL3 mark extreme levels often seen at major tops/bottoms
3. Volatility Analysis
Expanding clouds signal increasing volatility and potential big moves
Contracting clouds indicate consolidation and potential breakout setup
Cloud width helps with position sizing and risk management
4. Multi-Timeframe Confirmation
Works on all timeframes from 1-minute to monthly
Higher timeframes show major market structure
Lower timeframes provide precise entry/exit points
🎓 Best Practices
Combine with Volume: High volume at cloud levels increases reliability
Watch for Touch Clusters: Multiple touches at a level indicate strength
Monitor Cloud Expansion: Sudden expansion often precedes major moves
Use Multiple Timeframes: Confirm signals across different time periods
Respect the Trend Median: This is often the most important level
⚡ Performance Notes
Optimized for up to 2000 bars of historical data
Smooth performance with 500+ lines and labels
Works on all markets: Crypto, Forex, Stocks, Commodities
📝 Version Info
Current Version: 1.0
Dynamic volatility expansion system
Full customization suite
Touch point detection
Entry/exit signals
Forward displacement projection
Asian Session + Break & Retest Helperbrake and retest helper, it helps to see what levels are goin to break to the up or downside etc.
📊 TREND Indicator by Yogesh Mandloi 📊This custom-built TradingView indicator provides a visual and logic-based trend analysis dashboard using 4-hour RSI and EMA/SMA conditions, combined with entry/exit signals, alerts, and a toggle-controlled condition table.
🔍 Core Logic
The strategy uses 4-hour timeframe data to identify potential bullish or bearish trends based on:
RSI (14):
Buy: RSI > 48
Sell: RSI < 52
EMA/SMA (Trend Filters):
Buy: EMA 21 > SMA 55 High → uptrend confirmation
Sell: EMA 21 < SMA 55 Low → downtrend confirmation
Buy Signal = RSI > 48 AND EMA21 > SMA55 High
Sell Signal = RSI < 52 AND EMA21 < SMA55 Low
It only signals on first bar of condition (no repetitive signals) and gives exit alerts when the condition ends.
📈 Features
✅ Signal Plotting
Green "BUY" arrows below bars when buy setup forms
Red "SELL" arrows above bars when sell setup forms
Gray "EXIT" markers when the trend condition invalidates
✅ Real-Time Alerts
Entry alerts for both BUY and SELL signals
Exit alerts to close positions
✅ Dynamic Visual Table
An on-screen signal table shows the live status of each condition with color-coded clarity:
✅ Green: Condition met
❌ Red: Condition not met
🟧 Orange: Warning (bearish potential forming)
✅ Toggle Switches for Sections
Users can control the visibility of each table section:
Buy Conditions ✔️
Sell Conditions 🔻
Signal Summary 📌
Indicator Values 📊
This makes it easier to focus on relevant sections or declutter the chart view.
✅ Customizable Table Position
You can change the table location:
top_left, top_right, bottom_left, bottom_right
✅ Background Highlights
Light Green background when buy conditions are active
Light Red background when sell conditions are active
LANZ Strategy 5.0🔷 LANZ Strategy 5.0 — Intraday BUY Signals, Dynamic Lot Size per Account, Real-Time Dashboard and Smart Execution
LANZ Strategy 5.0 is a powerful intraday tool designed for traders who need a visual-first, data-backed BUY system, enhanced with risk-aware lot size calculation and a real-time performance dashboard. This indicator intelligently detects strong momentum setups and provides visual and statistical clarity throughout the session.
📌 This is an indicator, not a strategy — It does not place trades automatically but provides precise conditions, alerts, and visual guides to support execution.
🧠 Core Logic & Features
BUY Entry Conditions (Signal Engine)
A BUY signal is triggered when:
The current price is above the EMA200 (trend filter)
The last 3 candles are bullish (candle body close > open)
You are within the defined session window (NY time)
When all conditions are met and you haven’t reached the daily trade limit, a signal appears on the chart and an optional alert is triggered.
Operational Hours Filter (NY Time)
You define:
Start time (e.g., 01:15 NY)
End time (e.g., 16:00 NY)
The system only evaluates and executes signals within this period. If a BUY setup occurs outside the window, it’s ignored. The chart is also highlighted with a transparent teal background to visually show active trading hours.
Lot Size Panel with Per-Account Risk Management
Designed for traders managing multiple accounts or capital sources. You can enable up to 5 accounts, each with:
Its own capital
Its own risk percentage per trade
The system uses the defined SL in pips, plus the instrument’s pip value, to calculate the lot size per account. All values are shown in a dedicated panel at the bottom-right, automatically updating with each new trade.
The emojis (🐣🦊🦁🐲🐳) distinguish each account visually.
Trade Visualization with Customizable Lines
When a signal is triggered:
An Entry Point (EP) line is drawn at the candle’s close.
A Stop Loss (SL) line is placed X pips below the entry.
A Take Profit (TP) line is placed Y pips above the entry.
All three lines are fully customizable in style, color, and thickness. You define how many bars the lines should extend.
Outcome Tracking & Real-Time Dashboard
Each trade outcome is measured:
SL hit = –1.00%
TP hit = +3.00%
Manual close = calculated dynamically based on price at close time
Each result is labeled on the chart near its level, and stored.
The top-right dashboard updates in real time:
✅ Number of trades
📈 Cumulative % gain/loss of the day (color-coded)
Alerts You Can Trust:
You’ll get a Buy Alert when a valid signal is formed
You’ll get a Trade Executed Alert when the visual operation is plotted
You’ll get a SL/TP Hit Alert with price and result
You’ll get a Manual Close Alert if the configured time is reached and the trade is still active
⚙️ Step-by-Step Execution Flow
At every bar, the system checks:
Are we within the session time window?
Is price above EMA?
Are the last 3 candles bullish?
✅ If yes:
A BUY signal is plotted
Entry/SL/TP lines are drawn
Lot sizes are calculated and displayed
Trade is added to the daily count
🕐 At the configured Manual Close time (e.g., 16:00 NY):
If the trade is still open, it's closed
A label is added with the exact result in %
💡 Ideal For:
Intraday traders who operate within fixed time sessions
Traders managing multiple accounts or capital pools
Anyone who wants full visual clarity of every decision point
Traders who appreciate dynamic lot size calculation and clean execution tracking
👨💻 Credits:
💡 Developed by: LANZ
🧠 Strategy concept & execution model: LANZ
🧪 Tested on: 1H charts with visual-only execution
📈 Designed for: Clarity, adaptability, and full intraday control
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