Chỉ báo Độ rộng
PivotStrike Pro 1M + Time-Anchored Pivots
# PivotStrike Pro 1M — Supertrend Style + Time-Anchored Pivots
**PivotStrike Pro 1M (PSP1M-ST)** blends a fast Supertrend-style trend engine with **time-anchored major S/R pivots** that stay locked to the candles as you scroll and zoom. It’s designed for **clear, one-shot Buy/Sell flips** on the 1-minute chart while keeping your chart readable and decisive during strong moves.
## What it does
* **Supertrend Rails (non-repainting on close)**
Green rail sits **below** price in uptrends; red rail sits **above** price in downtrends. When the regime flips, you get a **single Buy or Sell flag**—no re-printing on the same bar.
* **Time-Anchored S/R Pivots**
Confirms **major swing highs/lows** using left/right pivot windows and anchors each level to the bar’s timestamp. Lines extend to the right and **remain aligned with price** when you zoom.
* **Simple, production-ready alerts**
Built-in alerts for Buy/Sell flips so you can route to notifications or bots.
## Why it’s different
* **One-shot signals** you can trust at regime change (no clusters of duplicate arrows).
* **Locked pivots** using `xloc=bar_time`, so support/resistance doesn’t drift when you change the view.
* **HTF option** for the Supertrend engine if you want to smooth 1-minute noise.
## Inputs (quick guide)
* **Indicator Timeframe**: leave blank for chart timeframe (1M), or choose a higher TF to smooth (e.g., 3M/5M).
* **ATR Period / ATR Multiplier**: default **10 / 3.0** (same feel as classic Supertrend).
* **Source**: HL2 (default).
* **Change ATR Method**: RMA(TR) on; toggle off to use `ta.atr`.
* **Show Buy/Sell Signals / Highlighter**: visual preferences.
* **Major S/R (Pivots)**: enable, choose left/right bars (defaults 8/8), line count, style, and transparency.
## Recommended 1M presets
* **ATR Period 10**, **Multiplier 3.0**, **Source HL2**, **Highlighter ON**, **Signals ON**.
* If the rail feels too tight/loose: nudge Multiplier **2.5–3.5**.
* Live scalping? Keep timeframe on **Chart**. Want fewer flips? Try **3M/5M** engine via *Indicator Timeframe*.
## How to read it
* **Trend**: Follow the rail—green below = uptrend bias; red above = downtrend bias.
* **Buy/Sell**: Acts at the **confirmed regime flip**. Use pivots to assess nearby S/R for entries, partials, or stop placement.
* **Pivots**: Recent highs (red lines) and lows (green lines). Breaks/holds around these areas often mark continuation vs. fade zones.
## Alerts
* **PSP1M-ST: BUY / SELL** — triggers on confirmed flips.
Tip: Pair with a simple “rail touch/close beyond” rule in your strategy if you want automation.
## Repainting & HTF notes
* The rail and flags **do not repaint after bar close** on the chart timeframe.
* If you pick a **higher Indicator Timeframe**, the engine only finalizes when that **HTF bar closes** (normal behavior). For pure 1M confirmation, leave the timeframe blank.
## Best practices
* Use pivots to avoid chasing into resistance/support.
* Combine with volume or session filters (e.g., avoid lunch chop).
* Scale risk by distance to the rail; trail behind the rail for simple exits.
> **Disclaimer**: This script is for educational use only. Markets carry risk. Always test and manage risk before trading.
MAX TRADE ZONA MAX TRADE ZONA is a precision zone-based trading indicator designed to highlight potential Buy/Sell areas and key reaction levels. It helps traders spot structured entries with clear risk planning and cleaner chart visuals. Best used with proper risk management and confirmation (trend, structure, and volatility)
9 HMA Direction Scalper (Pure Flip)new easier 9hma directional pure flip, it will help you with scalping short trends
Squeeze Momentum + MACD Balancedcombines Squeeze Momentum and MACD, scaling the MACD to visually match the Squeeze Momentum histogram. I went through your code and it looks mostly correct, but I can give you a few notes and potential improvements to make it cleaner and more robust:
Market Internals Dashboard (Time-Based Adaptive)Market Internals Dashboard (Time-Based Adaptive)
⚠️ IMPORTANT DISCLAIMER
This indicator is for CONFIRMATION purposes only and should NEVER be used as a standalone trading signal.
✅ Always test thoroughly in paper trading first
✅ Use as ONE confluence factor within your complete trading model
✅ Combine with price action, support/resistance, and your strategy rules
✅ Never enter trades based solely on this indicator
❌ Past performance does not guarantee future results
You are responsible for your own trading decisions and risk management.
📊 WHAT THIS INDICATOR DOES
This comprehensive Market Internals Dashboard monitors real-time NYSE and NASDAQ market breadth indicators to help traders identify:
Market Bias - Is the overall market bullish, bearish, or neutral?
Market Strength - How strong is the current move?
Divergences - Are internals confirming price action or warning of reversal?
Chop Zones - When to avoid trading due to choppy conditions
Extreme Levels - Overbought/oversold conditions for potential fades
Sector Rotation - Is money flowing to Value (NYSE) or Tech (NASDAQ)?
Key Market Internals Tracked:
NYSE Internals:
USI:TICK - Net advancing vs declining stocks
USI:ADD - Advance/Decline Line
USI:VOLD - Volume difference (up vol - down vol)
Volume Ratio - Up volume / Down volume
Cumulative TICK - Session momentum
NASDAQ Internals:
USI:TICKQ - NASDAQ tick indicator
USI:ADDQ - NASDAQ Advance/Decline
USI:VOLDQ - NASDAQ volume difference
NASDAQ Volume Ratio
Cumulative TICKQ
Additional Features:
TVC:VIX - Volatility index for risk sentiment
Volume Pulse - Institutional volume detection
TICK Delta - Momentum acceleration/deceleration
Adaptive Extreme Levels - Dynamic overbought/oversold zones
Fade Detection - Mean reversion opportunities
🎯 HOW THIS HELPS YOUR TRADING
1. Confirmation of Bias
If you're looking for longs, check if NYSE/NASDAQ show bullish alignment
Strong confluence when both markets agree with your directional bias
Avoid counter-trend trades when internals strongly oppose your setup
2. Timing Entries
Wait for internals alignment before entering
Use extreme levels for fade opportunities (mean reversion)
TICK Delta shows acceleration - enter on momentum confirmation
3. Risk Management
CHOP DETECTION warns when conditions are unfavorable
Reduce position size or stay flat during "DANGER ZONE" readings
Exit trades early if internals flip against your position
4. Divergence Alerts
When VOLD rises but price falls = potential bullish reversal
When VOLD falls but price rises = potential bearish reversal
Early warning system before price confirms the reversal
5. Session Context
Cumulative TICK shows session-wide bias
"Strong Bull Session" = favor longs, be selective with shorts
"Strong Bear Session" = favor shorts, be selective with longs
⚙️ SETTINGS GUIDE
📊 Dashboard Display
Dashboard Position - Choose where the dashboard appears (Top Right recommended)
Text Size - Adjust for screen resolution (Normal recommended)
Compact Mode - Shows only Overall Status + Scores (useful for small screens)
Color Settings - Customize background colors for different states:
Bullish/Bearish - Clear directional signals
Neutral - No clear bias
Chop/Warning - Avoid trading
No Data - Outside trading hours
💎 Signal Label
Show Signal Label - Diamond marker on chart when important signals trigger
The label's tooltip shows:
Aligned Bullish/Bearish
Strong market moves
Divergences
Extreme levels
Fade opportunities
📈 Market Internals Sources
Data Timeframe - ⚠️ CRITICAL SETTING
'1' minute = MAXIMUM ACCURACY (recommended for live trading)
'5' minute = Lower accuracy, saves memory
'15' minute = Lowest accuracy
💡 For real-time trading, ALWAYS use '1' minute!
RTH Only (9:30-16:00 EST) - Filters data to Regular Trading Hours only
Recommended: ON (internals are only meaningful during RTH)
Show NYSE/NASDAQ Groups - Enable/disable entire sections
Individual Indicators - Toggle specific internals on/off:
USI:TICK - Most reactive, shows immediate sentiment
USI:ADD - Confirms breadth, slower than TICK
USI:VOLD - Shows institutional money flow
Vol Ratio - Relative volume strength
VOLD Trend - Compares VOLD direction vs price direction
Vol Ratio Trend - Compares Vol Ratio vs price
⚙️ Thresholds
TICK/ADD Thresholds - Standard levels for bullish/bearish signals
NYSE TICK: 500 (conservative), 300 (aggressive)
NYSE ADD: 500 (conservative), 300 (aggressive)
NASDAQ TICK: 400 (conservative), 250 (aggressive)
NASDAQ ADD: 400 (conservative), 250 (aggressive)
VOLD Thresholds - Only for display color coding, not scoring
⚙️ Adaptive Extreme Levels
Use Adaptive Extreme Levels - 🔥 KEY FEATURE
ON = Dynamic thresholds based on recent volatility (RECOMMENDED)
OFF = Fixed extreme levels
Range Lookback (minutes) - Time window for calculating extremes
⚠️ IMPORTANT: Effective lookback depends on chart timeframe!
1min chart: max ~40min effective
5min chart: max ~200min effective
15min+ chart: full range available ✅
Recommended:
60min = Quick adaptation to changing volatility
120min = Balanced
180min = Stable (requires 5min+ chart)
Early Session Period - First X minutes after open use reduced lookback
30min = recommended (first half hour)
Prevents false extremes when range is still building
Early Session Multiplier - Reduces lookback during early session
0.50 = 50% of normal lookback (recommended)
0.25 = Very conservative
Extreme % from High/Low - How far from range extremes to trigger
0.90 = 90% of range (conservative)
0.80 = 80% of range (aggressive)
⚙️ Volume Ratio
Vol Ratio Bullish Threshold - e.g., 1.5 = up volume is 1.5× down volume
1.5 = balanced (recommended)
2.0 = more selective
Vol Ratio Extreme Threshold - For extreme signals
2.5 = very strong imbalance (recommended)
⚙️ VOLD Trend
VOLD Trend Period - Bars back for trend comparison
3 = recent trend (recommended for scalping)
5 = broader trend (swing trading)
VOLD Trend Weight - Importance in scoring
1.0 = equal to other indicators (recommended)
⚙️ Vol Ratio Trend
Same as VOLD Trend but for Volume Ratio
📊 Volume Pulse
Volume Pulse Lookback - Rolling average window
30min = balanced (recommended)
15min = sensitive to volume spikes
60min = stable, longer-term context
Shows when volume is:
🔵 Institutional (2.0×+ average)
High Volume (1.3×+ average)
Normal (0.7-1.3× average)
⚠️ Low Volume (<0.7× average)
📊 Cumulative TICK
Tracks session-wide momentum by summing all TICK readings.
Strong Bullish/Bearish - Thresholds for session bias
+3000 / -3000 = strong session bias (recommended)
Cumulative TICK Trend - Lookback - Bars on YOUR chart timeframe
On 15min chart: 3 bars = 45min trend
On 5min chart: 3 bars = 15min trend
Threshold - Minimum change for trend detection
200 = balanced (recommended)
500 = only strong trends
🔄 Fade Logic
Enable Fade Detection - Mean reversion after extremes
When TICK hits extreme (e.g., +1200) then reverses by X points, signals potential fade.
Fade Reversal Amount - How much TICK must reverse
200 = moderate fade (recommended)
300 = stronger confirmation needed
Require ADD Confluence - Fade signal needs ADD confirmation
ON = safer (recommended)
OFF = more signals, less reliable
⚙️ Hysteresis
Use Hysteresis - Prevents signal flickering
ON = recommended (smoother signals)
Hysteresis % - How much value must change to flip state
10% = balanced (recommended)
⚠️ Chop Detection
Warns when market conditions are unfavorable for trading.
TICK Range for Chop - If TICK stays within ±X for lookback period
400 = identifies tight consolidation (recommended)
ADD Threshold for Chop - If ADD is weak
300 = balanced (recommended)
Lookback Period - Bars to analyze
30 = recent conditions (recommended)
Max Score Difference for Chop - If bull/bear scores are similar
40% = identifies indecision (recommended)
Lunch Time Warning - 11:00-13:30 EST
ON = recommended (lunch chop is real!)
Chop Score Interpretation:
0-40% = 🟢 Tradeable
40-70% = 🟡 Choppy (be careful)
70-100% = 🔴 DANGER (avoid trading)
🎯 Scoring
Weights - Importance of each indicator in final score:
TICK Weight: 1.5 (most reactive)
ADD Weight: 1.5 (breadth confirmation)
Vol Ratio Weight: 1.0 (volume strength)
VOLD Trend Weight: 1.0 (trend confirmation)
Vol Ratio Trend Weight: 1.0 (trend confirmation)
Cumulative TICK Trend Weight: 1.5 (session momentum - very important!)
Strong Signal Threshold - Minimum % for "strong" signal
70% = recommended
80% = more selective
🔄 Alignment & Divergence
Min Score Difference for BIAS - How clear the bias must be
30% = recommended
50% = very clear bias required
Threshold for ROTATION Warning - When one market opposes the other
40% = balanced (recommended)
Rotation Types:
ROTATION TO VALUE = NYSE↑ NASDAQ↓ (buy financials/industrials)
ROTATION TO TECH = NASDAQ↑ NYSE↓ (buy tech stocks)
🔔 Alerts
Configure alerts for various conditions:
Aligned Bullish/Bearish (both markets agree)
Rotation Detected (sector rotation)
Strong Signals (70%+ score)
Chop/Danger (avoid trading)
Extreme Levels (overbought/oversold)
Divergences (early reversal warnings)
Fade Signals (mean reversion)
🎓 USAGE EXAMPLES
Example 1: Scalping ES during RTH
Setup:
Data Timeframe: 1 minute (max accuracy)
Chart: 5-minute ES
Looking for long scalp
Check Dashboard:
✅ Overall Status = "ALIGNED BULL"
✅ NYSE Score = 🟢 75%
✅ NASDAQ Score = 🟢 72%
✅ Market Quality = 🟢 OK (chop score <40%)
✅ Volume Pulse = High Volume or Institutional
Action: Enter long on your strategy signal with high confidence
Example 2: Avoiding Bad Trades
Setup:
Your strategy gives long signal
Price looks good
Check Dashboard:
❌ Overall Status = "🔴 AVOID - Both Choppy"
❌ NYSE Chop = 🔴 DANGER (75%)
❌ NASDAQ Chop = 🔴 DANGER (72%)
❌ TICK Range = narrow consolidation
Action: SKIP THE TRADE - Internals warn conditions are unfavorable
Example 3: Fade Opportunity
Setup:
Market pushed to extreme
Looking for reversal
Check Dashboard:
🔻 NYSE FADE SHORT signal appears
⚡ TICK was +1200 (extreme)
📉 Now reversed to +950
✅ ADD confirmed (turning negative)
Action: Consider short entry (with your reversal setup)
Example 4: Divergence Warning
Setup:
ES making new highs
You're in a long position
Check Dashboard:
⚠️ NYSE BEAR DIVERGENCE
📊 VOLD falling while price rising
🟡 Overall Status changing to "MIXED"
Action: Tighten stops or take profits - internals warn momentum fading
💡 BEST PRACTICES
DO:
✅ Test extensively before live trading
✅ Use on 5min or 15min charts for swing trades
✅ Use on 1min or 3min charts for scalping
✅ Combine with your proven strategy
✅ Respect CHOP DETECTION warnings
✅ Use Data Timeframe = 1 for accuracy
✅ Monitor Volume Pulse for institutional activity
✅ Watch for divergences as early warnings
DON'T:
❌ Trade based on internals alone
❌ Ignore chop warnings ("I'll be careful")
❌ Use Data Timeframe >5 for live trading
❌ Trade against aligned strong signals
❌ Overtrade - wait for quality setups
❌ Ignore session context (Cumulative TICK)
🔧 RECOMMENDED SETTINGS
For Day Trading (Scalping):
Data Timeframe: 1
Adaptive Extremes: ON
Range Lookback: 60 minutes
VOLD Trend Period: 3
Cumulative TICK Weight: 1.5 (important!)
Chop Detection: ON
For Swing Trading:
Data Timeframe: 5
Range Lookback: 120 minutes
VOLD Trend Period: 5
Strong Threshold: 75%
📝 NOTES
Market internals are most reliable during regular trading hours (9:30-16:00 EST)
Lunch period (11:00-13:30 EST) often shows choppy behavior
First 30 minutes after open can be erratic - use early session adjustments
Power hours (9:30-10:30 and 15:00-16:00) tend to have cleaner trends
Volume Pulse helps identify when "smart money" is active
🤝 SUPPORT
If you find this indicator helpful, please consider:
⭐ Leaving a positive review
💬 Sharing your trading experience
📈 Supporting my work with a TradingView subscription (any tier helps!)
Creating and maintaining free, high-quality indicators takes significant time and effort. Your support enables me to continue developing tools for the trading community and keep them updated. Thank you! 🙏
Remember: This is a tool, not a system. Your trading success depends on YOUR complete strategy, risk management, and discipline.
Good luck and trade safe! 🚀
VN Stock Risk + RS CombinedDescription
This script is a cycle-based risk and relative strength indicator designed for the Vietnam stock market.
It combines:
Market Risk (long-term cycle & trend extension)
Relative Strength (RS) versus VN-Index
The goal is to identify stocks that are not overheated and are outperforming the broader market.
How it works
The indicator calculates:
Risk score (0–1) using:
Deviation from long-term cycle SMA
Price distance from 40-week MA
Medium-term flow (20W / 40W MA)
Relative Strength (RS):
Stock price divided by VN-Index price
Compared to RS 40-week MA
How to use
Timeframe: Weekly only
Green zone: Low risk + RS above MA → accumulate / hold
Yellow zone: Mixed signals → wait
Red zone: High risk or weak RS → avoid / reduce exposure
Rule of thumb:
Buy stocks with lower risk than VN-Index and RS above its 40-week MA.
Intended use
Mid-to-long-term investing
Portfolio allocation
Avoiding market tops
❌ Not for day trading or scalping
Altcoin Risk + RS vs BTC1. What is this indicator?
The Altcoin Risk + RS vs BTC indicator is a cycle-based investment tool, designed to answer one key question:
“Is this altcoin both relatively strong and not overheated?”
It combines two essential dimensions of decision-making:
Risk (cycle & valuation) – Is the price too extended?
Relative Strength (RS) – Is capital flowing into this altcoin instead of Bitcoin?
This indicator is not for short-term trading.
It is optimized for mid-to-long-term positioning, portfolio allocation, and avoiding cycle tops.
2. Core concepts
2.1 Risk Component – “Is the altcoin overheated?”
The Risk score (0 → 1) measures how far the altcoin has moved relative to its own historical growth path.
It combines three elements:
Deviation from long-term cycle SMA (2–3 years)
→ Measures long-term valuation vs cycle trend
Log distance from 20-week moving average
→ Identifies bull vs bear regime
Trend momentum (50-day / 50-week MA)
→ Captures acceleration or exhaustion
Interpretation:
Risk Level Meaning
Low (≤ 0.3) Undervalued / accumulation
Medium (0.3–0.6) Healthy trend
High (≥ 0.8) Overheated / distribution
2.2 Relative Strength (RS) vs Bitcoin – “Is it beating BTC?”
Relative Strength is calculated as:
RS = Altcoin Price / Bitcoin Price
Then compared to its 40-week moving average.
Interpretation:
RS Condition Meaning
RS > MA40 Altcoin outperforming BTC
RS < MA40 BTC stronger (alt underperforming)
This ensures you only buy altcoins that are actually attracting capital, not just rising because BTC is rising.
3. Combined logic (the key idea)
An altcoin is attractive only when BOTH conditions are true:
✅ Condition 1 – Risk filter
Altcoin Risk < Bitcoin Risk
→ The altcoin is not more overheated than BTC
✅ Condition 2 – Relative Strength filter
RS > RS 40W MA
→ The altcoin is outperforming BTC
4. Indicator signals (visual meaning)
Background Color Meaning Action
🟢 Green Low risk + strong RS Accumulate / DCA
🟡 Yellow Mixed conditions Wait / monitor
🔴 Red High risk or weak RS Avoid / reduce
5. How to use it correctly (step-by-step)
Step 1 – Timeframe
Weekly chart only
Daily or lower timeframes will generate noise
Step 2 – Asset selection
Best suited for:
ETH
SOL
BNB
KAS
AVAX
❌ Not recommended for meme coins or illiquid assets
Step 3 – Capital allocation
Focus only on green-zone altcoins
Ignore “interesting narratives” if the indicator is red
Step 4 – Portfolio discipline
Increase exposure when green appears after a long red/yellow period
Reduce exposure when risk turns red, even if price is still rising
6. What this indicator is NOT
❌ Not a scalping tool
❌ Not a top/bottom picker
❌ Not predictive of short-term price movements
It is a risk management and capital allocation framework.
7. Typical mistakes to avoid
Using it on daily charts
Buying altcoins with high RS but very high risk
Ignoring Bitcoin risk context
Applying it to hype-driven meme coins
PhoenixC EMA Strategymnn,h,bm,vbmvcnxfnxvnxvcnvcdgfjfgjfgjfgjdgjdgjdfjdfhsdfghdsfgdghdfhdfhdfhdfhdhdfhdhdf
The5ereThis strategy is based on price action and candlestick patterns to identify high-probability trade entries without lagging indicators.
MAX TRADEMAX TRADE is a professional BUY/SELL signal indicator built for scalping and intraday trading. It generates clear entries and displays pre-defined risk zones directly on the chart to help traders manage positions faster and more confidently.
Main line in K-line trend indicator
Main line in K-line trend indicator
The chart must be pinned. Otherwise, the chart coloring cannot be seen.
主线在k线染色趋势指标
图表必须置顶。不然看不到图表染色
UT Bot Decimal + HA Signals + HA VWAP (Bold White Labels)Custom UT Bot with Built in VWAP and ability to use decimal sensitivity and signals fire off of Heikin Ashi candle
BTC Valuation ZonesBTC Valuation – Distance From 200 MA
This indicator provides a simple but powerful Bitcoin valuation framework based on how far price is from the 200-period Moving Average, a level that has historically acted as Bitcoin’s long-term equilibrium.
Instead of predicting tops or bottoms, this tool focuses on mean-reversion behavior:
When price deviates too far above the 200 MA → risk increases
When price deviates deeply below the 200 MA → long-term opportunity increases
Rango Pre-Apertura (8am-9am)Overview
This indicator is specifically designed for the index trading community, with a focus on US30 (Dow Jones). It centers on the concepts of "Capital Injection" and "Opening Traps," automatically identifying the most critical liquidity levels prior to the New York Open (09:30 AM EST).
Indicator Logic
The script operates on the premise that the range formed between 08:00 AM and 09:00 AM EST acts as a key accumulation or manipulation zone before the official session. By marking these levels, traders can visualize where institutional algorithms are likely to seek liquidity before the day’s primary expansive move begins.
Key Features
08:00 - 09:00 AM Range: Automatically calculates and projects the exact High and Low of this pre-market window.
Previous Day Levels (PDH/PDL): Identifies the Previous Day High and Low as primary zones for External Liquidity (BSL/SSL).
Visual Clarity: Lines are projected only until 01:00 PM EST to keep the chart clean for post-session analysis.
Professional Styling: Uses non-continuous plots to avoid visual noise and diagonal line "bleeding" between trading days.
How to Trade with this Script
Mapping: Identify whether the price opens above or below the 8:00 AM range.
The Trap: Look for liquidity sweeps (Stop Runs) of the marked lines exactly at 09:30 AM.
Confirmation: Combine this indicator with price action to detect "Force Invalidations" (Engulfing patterns) at H1 or H4 Points of Interest (POI).
VWAP Extreme Zones (Elite Style)Short Description
VWAP Extreme Zones (Elite Style) highlights statistically stretched price areas above and below VWAP, helping traders identify potential overextension, mean-reversion zones, and high-risk breakout areas during intraday sessions.
Disclaimer
This indicator is provided for educational and analytical purposes only.
It does not constitute financial advice or trade signals.
All trading involves risk. Always confirm with price action, market context, and proper risk management before taking any trade.
ICT Precision Turtle Soup NuNi1. Identify the CRT Range (The Context)
Before looking for a trade, the indicator defines the Candle Range Theory (CRT) boundaries based on your lookback period.
CRT High (Red Line): Represents old buy-side liquidity.
CRT Low (Green Line): Represents old sell-side liquidity.
HTF Filter: The code ensures the higher timeframe trend (e.g., 4H) aligns with your direction. Only look for Buys if the HTF trend is bullish.
2. The Manipulation (Turtle Soup 🐢)
Wait for price to move outside the CRT boundaries.
The Trap: Price must sweep below the CRT Low or above the CRT High.
The Reclaim: A Turtle Body Soup (TBS) occurs when the candle body closes back inside the range, or a wick rejection happens.
Symbol: A 🐢 icon will appear on the chart. Do not entry yet. This is just a warning that a setup is forming.
3. The Shift & Momentum (The Trigger)
To ensure a high-probability entry, the indicator waits for two technical confirmations:
MSS (Market Structure Shift): Price must break the most recent swing high (for Buys) or swing low (for Sells).
Displacement: The breaking candle must be "displaced"—meaning it has a large, energetic body compared to previous candles. This proves that big banks/institutions are moving the price.
4. The Entry Execution
Once all conditions are met, the "⭐ PRECISION ENTRY" label will appear.
Execution: You can enter at the market price when the label appears.
Retest Entry: Alternatively, look for the price to return to the IFVG or Breaker Zone (the shaded box) drawn by the indicator for a more refined entry.
Gold DropGold Drop – Intraday Trading System (India Markets)
Gold Drop is a rule-based intraday trading strategy designed specifically for Indian index trading (BANKNIFTY / NIFTY), combining trend, momentum, strength, and fixed reference levels to deliver consistent and disciplined trade execution.
The system is built to avoid emotional trading, over-trading, and shifting levels during the session
Maestro 4hThis indicator is designed to help traders analyze market trends and identify potential trading opportunities.
It provides clear visual signals based on price behavior and technical calculations, allowing traders to better understand market structure, momentum, and direction.
The indicator can be used on any market and timeframe, making it suitable for both intraday and swing trading.
It is intended as a decision-support tool and should be used in combination with proper risk management and other forms of analysis.
Muros Multi-TF Pro Dashboard v2fwrvw w fw wf fs rf wf wf jni hb hu huhb yhi ib i ibb uoobu ic biicb ibc bic k
XAUUSD M15 momentum realDetects when xausd enters a healthy directional phase during the NY session, and only flags entries with real momentum and controlled volatility.
HMA Direction Scalping + Liquidity Zones + Metricsuses hma to determine buy and sell using 9hma for direction.






















