ICT Kill Zone Macro Analysis Enhanced v3The Kill Zones specified by TheInnerCircleTrader with internal and external specific fib levels and standard deviations.
Also indicates important session open prices and new day open price.
Candlestick analysis
MNQ Optimal Entry Detector - Timeframe StableOptimized for timeframes and has better trade stability, overall better option however use with discretion, dont trade until 3 hours after market opens and dont use 4 hours before close due to lack of volume.
NY & Sydney Open firts candle 10m (v6)We will analyze the initial intention of the opening. The first Japanese candlestick after the opening in New York or Sydney will show us the initial intention of the price movement.
NY & Sydney Open firts candle 10m (v6)We will analyze the initial intention of the opening. The first Japanese candlestick after the opening in New York or Sydney will show us the initial intention of the price movement.
MNQ Optimal Entry Detector Use 2 minute time frame, no range entry signals as they are lower probability, use discretion and understand bias. This is still in testing so do not use it as financial advice.
5 EMA vs 50 EMA Crossover with PCO/NCO//@version=5
indicator("5 EMA vs 50 EMA Crossover with PCO/NCO", overlay=true)
// EMA Calculations
emaFast = ta.ema(close, 5)
emaSlow = ta.ema(close, 50)
// Crossover Conditions
buySignal = ta.crossover(emaFast, emaSlow)
sellSignal = ta.crossunder(emaFast, emaSlow)
// Plot EMAs
plot(emaFast, color=color.blue, title="5 EMA")
plot(emaSlow, color=color.orange, title="50 EMA")
// Plot Buy/Sell Signals
plotshape(buySignal, title="Buy (PCO)", location=location.belowbar, color=color.green, style=shape.labelup, text="PCO")
plotshape(sellSignal, title="Sell (NCO)", location=location.abovebar, color=color.red, style=shape.labeldown, text="NCO")
// Optional Alerts
alertcondition(buySignal, title="Buy Alert (PCO)", message="PCO: 5 EMA crossed above 50 EMA")
alertcondition(sellSignal, title="Sell Alert (NCO)", message="NCO: 5 EMA crossed below 50 EMA")
Strategy XAUUSDDouble low and higher close (yellow candle) combined with bullish outside bar (orange candle).
Trappp's Advanced Multi-Timeframe Trading ToolkitThis comprehensive trading script by Trappp provides a complete market analysis framework with multiple timeframe support and resistance levels. The indicator features:
Key Levels:
· Monthly (light blue dashed) and Weekly (gold dashed) levels for long-term context
· Previous day high/low (yellow) with range display
· Pivot-based support/resistance (pink dashed)
· Premarket levels (blue) for pre-market activity
Intraday Levels:
· 1-minute opening candle (red)
· 5-minute (white), 15-minute (green), and 30-minute (purple) session levels
· All intraday levels extend right throughout the trading day
Technical Features:
· EMA 50/200 cross detection with alert labels
· Candlestick pattern recognition near key levels
· Smart proximity detection using ATR
· Automatic daily/weekly/monthly updates
Trappp's script is designed for traders who need immediate visual reference of critical price levels across multiple timeframes, helping identify potential breakouts, reversals, and pattern-based setups with clear, color-coded visuals for quick decision-making.
iFVG ultimateUltimate ifvg strategy indictor, has 1hr/4hr high/low marker, Session high/low and 50% Daily range marker
MHM BOT V2Proprietary algorithm based indicator providing clear buy / sell signals which do not repaint. This algorithm is based on rejection patterns. Perfectly suited for scalping tickers with high liquidity and volatility. Perfectly suited for scaling NQ or ES.
TWT_MAHA+REVERAL🔹 TWT_MAHA + REVERSAL (Smart Money Reversal System)
TWT_MAHA + REVERSAL is a non-repainting support–resistance + price-action reversal indicator designed to catch high-probability market turning points near extremes.
It combines:
Dynamic Support & Resistance (multi-timeframe)
RSI + MACD momentum exhaustion
Smart Money concepts (Order Blocks & Liquidity grabs)
Advanced price-action patterns (pin bars, engulfing, failures)
✅ How to Use (Simple Rules)
🟢 BUY SETUP
Look for Buy signals near Support / Extreme Lows when:
RSI is oversold and starting to reverse
MACD shows loss of bearish momentum
Strong bullish price action appears (long wick, engulfing, reversal pattern)
A Bullish Order Block (OB) or Bullish SFP (liquidity grab) is printed
📌 Best entries:
First retest of a bullish OB
Strong reversal candle close near support
🔴 SELL SETUP
Look for Sell signals near Resistance / Extreme Highs when:
RSI is overbought and rolling over
MACD shows loss of bullish momentum
Strong bearish price action appears
A Bearish Order Block (OB) or Bearish SFP is printed
📌 Best entries:
First retest of a bearish OB
Rejection wick or strong bearish candle near resistance
🎯 Risk–Reward Guidance
Intraday / Scalping:
🔸 Typical RR: 1:1.5 to 1:2
Swing / Positional:
🔸 Typical RR: 1:2 to 1:4
🛑 Stop-loss:
Just beyond the OB zone or recent swing high/low
🎯 Targets:
Nearest opposing S/R
Partial at 1R, trail the rest
🧠 Key Notes
Works best on 5m, 15m, 30m for intraday
Also effective on 1H+ for swing trading
Designed to reduce noise and avoid late entries
No repainting signals
🔐 Access & Updates
This indicator is private.
📩 To get access:
👉 DM me directly on TradingView
(Serious traders only — this tool is built for education Purpose Only. Before taking any Real Trade consult your own Financial Advisor)
ORB Pro: Sniper Edition [Hybrid Scanner + Smart Ranking]الوصف (Description):
🚀 ORB Pro: Sniper Edition – The Ultimate Day Trading System
The ORB Pro: Sniper Edition is not just an indicator; it is a complete algorithmic trading system designed for scalpers and day traders who trade the Opening Range Breakout (ORB) strategy.
This edition features a revolutionary "Hybrid Scanner" with "Smart Opportunity Ranking" logic that prioritizes fresh signals over old ones, ensuring you never miss a breakout.
🔥 Key Features:
Hybrid Scanner System:
Manual Mode: Monitor your own top 5 favorite stocks.
Auto Scanner Mode: Automatically scans a pre-defined list of Top 20 High-Momentum Stocks (TSLA, NVDA, AMD, COIN, MSTR, etc.) inside the code.
🧠 Sniper Ranking Logic (The Game Changer): Unlike standard scanners that show static lists, this system sorts stocks dynamically in the table based on opportunity:
🥇 Priority 1: Fresh Breakouts (RUN 🚀) that haven't hit targets yet (The Entry Zone).
🥈 Priority 2: Winning Trades (WIN ✅) that already hit targets.
🥉 Priority 3: Weak or Stopped out trades.
Advanced Strategy Logic:
Fibonacci Targets: Precision exits at 1.618, 2.0, 2.618, and 3.618 extensions.
Smart Reversal: Detects "Fakeouts" and flips the signal immediately (e.g., from CALL to PUT) to catch institutional traps.
Trend Filtering: Uses EMA 50 to filter out low-probability trades.
Risk Management:
Auto Breakeven: Moves stop-loss to entry after Target 1.
Trailing Stop: Dynamic stop-loss that follows the price action.
⚙️ How to Use:
Add the indicator to a 5-minute chart.
Go to Settings > Table System > Select "Auto Scanner".
Watch the table: Focus on the top rows showing "RUN 🚀". These are your live entry signals!
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🚀 مؤشر القناص: ORB Pro Sniper Edition – نظام المضاربة اللحظية المتكامل
يعتبر هذا المؤشر نظاماً آلياً متطوراً للمضاربين اللحظيين (Scalpers/Day Traders) يعتمد على استراتيجية كسر نطاق الافتتاح (ORB) الشهيرة، ولكنه معزز بخوارزميات ذكية لتصفية الفرص.
يتميز هذا الإصدار بوجود "ماسح هجين" (Hybrid Scanner) ونظام "تصنيف ذكي" يعطيك الزبدة ويعرض لك الفرص الحية فور حدوثها.
🔥 أهم المميزات:
نظام الماسح الهجين (Hybrid Scanner):
الوضع اليدوي (Manual): لمراقبة قائمتك الخاصة (5 أسهم تختارها أنت).
الماسح الآلي (Auto Scanner): يقوم المؤشر بمسح فوري لقائمة مدمجة تضم أقوى 20 سهم سيولة ومضاربة في السوق الأمريكي (مثل TSLA, NVDA, MSTR, COIN, وغيرها).
🧠 خوارزمية "القناص" للترتيب (Sniper Ranking): الجدول لا يعرض الأسهم عشوائياً، بل يركز على الفرصة الحالية:
🥇 الأولوية القصوى: للأسهم التي أعطت إشارة دخول (RUN 🚀) ولم تحقق الهدف بعد (هذه هي منطقة الدخول الذهبية).
🥈 الأولوية الثانية: للأسهم التي حققت أهدافها (WIN ✅).
🥉 الأولوية الأخيرة: للأسهم المتذبذبة أو الخاسرة.
دقة فنية عالية:
أهداف فيبوناتشي: تحديد آلي لأهداف جني الأرباح (1.618، 2.0، 2.618).
كشف الانعكاس (Reversal): يكتشف الاختراقات الكاذبة (Fakeouts) ويقلب الإشارة فوراً للدخول مع صناع السوق.
فلتر الترند: يستخدم متوسط 50 لمنع الدخول عكس الاتجاه العام.
إدارة المخاطر:
تأمين الصفقة (Breakeven): يرفع الوقف لسعر الدخول تلقائياً بعد تحقق الهدف الأول.
الوقف المتحرك: يلاحق الأرباح للحفاظ عليها.
⚙️ طريقة الاستخدام:
ضع المؤشر على فريم 5 دقائق.
من الإعدادات، اختر نظام الجدول "Auto Scanner".
راقب الجدول: ركز نظرك على الأسهم التي تظهر في أعلى القائمة بحالة "RUN 🚀".
⚠️ Disclaimer / إخلاء مسؤولية: This tool is for educational and analytical purposes only. Trading involves significant risk. Always manage your risk properly. هذه الأداة للأغراض التعليمية والتحليلية فقط. التداول ينطوي على مخاطر عالية.
Market Structure HighLow + Liquidity [MaB]📊 Market Structure HighLow + Liquidity A comprehensive indicator combining precision market structure analysis with real-time liquidity zone detection, built on a custom finite-state machine architecture.
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🎯 KEY FEATURES
• Automatic Swing Detection Identifies structural High/Low points using a dual-confirmation system (minimum candles + pullback percentage)
• Smart Trend Tracking Automatically switches between Uptrend (Higher Highs & Higher Lows) and Downtrend (Lower Highs & Lower Lows)
• Breakout Alerts Visual markers for confirmed breakouts (Br↑ / Br↓) with configurable threshold
• Sequential Labeling Clear numbered labels (L1, H2, L3, H4...) showing the exact market structure progression
• Color-Coded Structure Lines
• Green: Uptrend continuation legs
• Red: Downtrend continuation legs
• Gray: Trend inversion points
• Imbalance Zones (FVG) Automatically detects Fair Value Gaps that form during impulsive moves between validated swing points
• Inducement Zones Identifies potential liquidity traps - FVGs that form before breakout confirmation, often used as stop-hunt areas
• Dynamic Zone Management Zones automatically close when price touches them, with configurable retracement sensitivity
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🔬 TECHNICAL ARCHITECTURE
This indicator does NOT rely on TradingView's built-in ta.pivothigh() / ta.pivotlow() functions.
Instead, it implements a custom finite-state machine (FSM) that manages multiple monitoring states, alternating dynamically between Uptrend and Downtrend modes based on confirmed breakouts.
Core Components:
• State Machine Engine Multiple internal states handle candidate detection, validation, and confirmation phases. The system transitions between states based on price action triggers and confirmation criteria.
• Dual-Confirmation System Each swing point must satisfy two independent filters before validation:
o Time-based filter (minimum candles)
o Price-based filter (minimum retracement %)
• Directional Breakout Logic Separate breakout detection routines for uptrend continuation, downtrend continuation, and trend inversion scenarios. Each triggers specific state transitions.
• FVG Classification Engine Automatically distinguishes between Imbalance zones (post-confirmation FVGs) and Inducement zones (pre-confirmation FVGs) based on breakout timing context.
• Dynamic Zone Lifecycle Zones are created, monitored, and closed through a managed lifecycle with configurable touch sensitivity.
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
⚙️ CONFIGURABLE PARAMETERS
Market Structure
• Analysis Start Date: Define when to begin structure analysis
• Min Confirmation Candles: Required candles for validation (default: 3)
• Pullback Percentage: Minimum retracement for confirmation (default: 10%)
• Breakout Threshold: Percentage beyond structure for breakout (default: 1%)
Liquidity
• Show Zones: Toggle visibility of imbalance and inducement zones
• Zone Colors: Customize colors for Supply/Demand imbalances and inducements
• Zone Retracement %: How deep price must enter zone to consider it touched (0-100%)
• Inactive Zones Transparency: Visual distinction for closed zones
Display
• Show Market Structure Table: Toggle info panel
• Replay Mode: Optimize for TradingView Replay feature
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🎨 ZONE COLOR CODING
• 🔴 Imbalance Supply (Red): Bearish FVG - potential resistance/short entry
• 🟢 Imbalance Demand (Green): Bullish FVG - potential support/long entry
• 🟠 Inducement Supply (Orange): Pre-breakout bearish FVG - possible stop-hunt zone
• 🔵 Inducement Demand (Blue): Pre-breakout bullish FVG - possible stop-hunt zone
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💡 HOW IT WORKS
1. Initializes state machine in UPTREND mode, searching for first swing Low
2. Tracks price movement and triggers candidate states upon potential reversals
3. Validates candidates through dual-confirmation (time + price filters)
4. Upon confirmation, scans price range for FVG patterns (3-candle gaps)
5. Classifies detected FVGs based on breakout timing (Inducement vs Imbalance)
6. Monitors breakout levels - triggers state transitions on confirmed breaks
7. Alternates between Uptrend/Downtrend modes based on breakout direction
8. Manages zone lifecycle - closes zones when price retraces into them
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
🔧 BEST USED FOR
• Identifying key support/resistance levels with liquidity context
• Spotting potential reversal zones (imbalances)
• Avoiding stop-hunt traps (inducement awareness)
• Trend direction confirmation
• Breakout trading setups with confluence
• Multi-timeframe structure and liquidity analysis
• Understanding where institutional orders may be resting
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⚠️ NOTES
• Works best on higher timeframes (1H+) for cleaner structure
• Inducement zones often convert to Imbalance zones after breakout confirmation
• Zone Retracement % allows fine-tuning: 0% = first touch, 25% = quarter penetration, 100% = full traversal
• Inactive zones remain visible (faded) to show historical liquidity levels
• Use Replay Mode when backtesting to prevent buffer overflow errors
Gap 1-3 candle📊 Gap 1↔3 (Wicks) — Segmented Fills
Gap 1↔3 (Wicks) — Segmented Fills is an advanced price-action indicator designed to visualize wick-based price gaps between the 1st and 3rd candle.
It clearly shows how, when, and by which candles a gap was partially or fully filled.
🔍 What the indicator detects
The indicator identifies gaps between:
1st candle (bar )
3rd candle (current bar)
Bullish gap (up gap):
high < low
Price jumps upward
Bearish gap (down gap):
low > high
Price jumps downward
All calculations are done strictly using wicks (high/low) — no candle bodies or close prices.
🧠 How it works
The gap is drawn starting from the 2nd candle (the candle between the 1st and 3rd).
Active gaps are drawn up to the current bar, with optional extension to the right.
When a candle:
Partially enters the gap, the current box is closed on that candle,
and a new box continues with the remaining unfilled zone.
Fully fills the gap, the box is either:
kept and ended on the fill candle (optionally dimmed), or
removed, depending on user settings.
This segmented approach makes it easy to see:
which candles partially filled the gap,
which candle fully filled it.
⚙️ Indicator settings
Lookback Bars – number of bars displayed on the chart
Minimum Gap Size – filter small gaps (in ticks)
Extend Drawing to the Right – extend active gaps forward
Show Filled Gaps – keep or remove filled gaps
Dim Filled Gaps – visually fade filled gaps
Separate colors for bullish and bearish gaps
📈 Practical use cases
This indicator is suitable for:
Price Action trading
Scalping, Intraday, and Swing trading
Identifying imbalances, FVGs, and liquidity zones
Observing price reactions to unfilled gaps
Works on stocks, indices, forex, and crypto.
👤 Author & Contact
Author: Jakub Doskar
📧 Email:
jakub.doskar@gmail.com
🔗 LinkedIn:
www.linkedin.com
Feel free to reach out for feedback, bug reports, or custom indicator modifications.
**KAPITAS CBDR+SESSION RANGES+DR HOD/LOD MODELS WITH FIBS FREE**CBDR-based HOD/LOD formation model with multi-range analysis (CBDR/ADR/ODR/RDR/Asian), dynamic standard deviation projections, 200-day statistics engine, kill zone tracking, bias detection, protraction leg analysis.
Futures Goal Ladder Futures OnlyHOW TO USE THE FUTURES TP GOAL LADDER TOOL
READ THIS FULLY BEFORE USING
This tool is designed to help you trade futures with clarity, discipline, and structure. It automatically calculates profit targets, helps manage contracts correctly, and keeps you aligned with your account size. Nothing is broken in this tool. If something looks off, it is almost always a setting issue.
Please read every section carefully.
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WHAT THIS TOOL DOES
This tool automatically plots TP1, TP2, and TP3 based on dollar profit goals, not points.
It is built specifically for futures traders and supports both Micro and Mini contracts.
You use this tool to:
* Set clear profit goals
* Know exactly where to take partials
* Avoid overtrading
* Match contract size to account size
* Trade with intention, not emotion
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SUPPORTED CONTRACT TYPES
There are two contract types.
MINI CONTRACTS also called BIG contracts
Examples: NQ, ES, YM, GC
MICRO CONTRACTS
Examples: MNQ, MES, MYM, MGC
Always make sure you select the correct contract type in the settings.
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CONTRACT SIZE RULES YOU MUST FOLLOW
MINI CONTRACTS
* Minimum contracts: 1
* Maximum contracts recommended: 3
This is because Minis move fast and risk increases quickly.
MICRO CONTRACTS
* Minimum contracts: 1
* Maximum contracts recommended: 10
Micros are smaller, but stacking too many still increases risk.
Do not exceed these numbers unless you fully understand futures risk.
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HOW BUY AND SELL WORK
BUY means you expect price to go UP.
SELL means you expect price to go DOWN.
The tool does not force trades.
It only shows profit targets once YOU decide direction.
Steps:
1. Decide Buy or Sell based on your strategy.
2. Select Buy or Sell in the settings.
3. The TP levels will automatically plot in the correct direction.
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TRADING MODES EXPLAINED
There are two main modes.
AUTO MODE
* Entry price is detected automatically from current market price.
* Best for fast execution and live trading.
* Recommended for most traders.
MANUAL MODE
* You manually type in your Entry Price.
* Used ONLY when:
* Planning a limit order
* Pre-marking levels
* Backtesting
* Reviewing trades after the fact
If you enter a price but leave it on AUTO, the tool will ignore your manual price.
You must switch to MANUAL for manual entry price to work.
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HOW TO USE MANUAL EP AND LOCK
MANUAL EP means Manual Entry Price.
Steps:
1. Switch Trading Mode to MANUAL.
2. Enter your exact Entry Price.
3. Turn ON Entry Price Lock.
Entry Price Lock prevents the tool from moving if price changes.
This is critical when planning trades.
When to use Manual EP:
* Limit orders
* News levels
* Kill zone setups
* Trade planning before session open
When NOT to use Manual EP:
* Market orders
* Fast scalps
* Momentum entries
For live trading, AUTO mode is usually best.
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TP LEVELS EXPLAINED
TP1 is partial profit.
TP2 is strong continuation.
TP3 is full goal completion.
You can scale out contracts at each level or let the full position run based on your plan.
This tool is about consistency, not gambling.
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VERY IMPORTANT WARNINGS
DO NOT USE DEBUG MODE
Debug mode is for development only. It will confuse calculations.
DO NOT USE POINT VALUE OVERRIDE
This will break the math if you do not fully understand futures contract values.
If you touched either of these:
* Go to Settings
* Select Defaults
* Reset everything
The tool is built correctly out of the box.
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COMMON MISTAKES TO AVOID
* Forgetting to switch AUTO to MANUAL
* Using Mini settings while trading Micros
* Overloading contracts
* Editing advanced settings without understanding them
* Trading without a defined direction
---
FINAL REMINDERS
This tool does not replace discipline.
It enhances discipline.
Trade one setup at a time.
Follow your plan.
Protect capital first.
If something looks off, reset to defaults before asking questions.
Master this tool, and it will serve you well.
SAYO Zones📄 Description
🔹 SAYO Zones is a clean and objective trading tool designed for swing traders and day traders, suitable for stocks, crypto, and futures markets.
🔹 The indicator automatically maps dynamic Fibonacci-based price zones and combines them with momentum timing to help traders focus only on high-quality areas of interest.
🔹 It works on all timeframes, from intraday charts to higher timeframe swing setups.
🔹 This tool is not a signal generator by itself. 🔹 It is a decision-support indicator built to improve clarity, patience, and execution.
🔍 What SAYO Zones Does
🔹 Automatically calculates dynamic Fibonacci ranges 🔹 Highlights key price zones where reactions are statistically more likely 🔹 Filters out low-quality trades by identifying no-trade (blue) zones 🔹 Combines WaveTrend structure with Stochastic momentum for timing 🔹 Designed to work on all markets and all timeframes, including futures
🎯 Core Concept
🔹 Markets move in ranges. 🔹 Not every level is worth trading.
🔹 SAYO Zones helps you: 🔹 Focus only on meaningful price areas 🔹 Avoid entries inside low-probability zones 🔹 Align structure and momentum for better entries 🔹 The goal is clarity over frequency.
🧭 How to Use
🔹 SAYO Zones is built as an advanced trading methodology, while remaining clear and accessible for beginners. 🔹 The indicator provides visual arrows when specific structural and momentum conditions align.
🔹 How to approach a trade: 🔹 Wait for price to reach a meaningful zone 🔹 Avoid trades inside blue zones 🔹 When an arrow appears, it signals that structure and momentum are aligned 🔹 Use momentum confirmation to validate the setup
🔹 Once confirmed: 🔹 Define your stop loss based on structure or zone boundaries 🔹 Define your take profit according to your risk-to-reward plan 🔹 Execute the trade based on your strategy rules
🔹 The arrows are not meant to be followed blindly. 🔹 They are execution signals designed to help you act only when conditions are favorable. 🔹 This approach encourages discipline, patience, and structured risk management.
📈 Best Use Cases
🔹 Swing trading stocks 🔹 Day trading stocks 🔹 Swing trading crypto 🔹 Day trading crypto 🔹 Futures trading (index, commodities, and crypto futures) 🔹 All timeframes: 5m, 15m, 1H, 4H, Daily 🔹 Range, pullback, and structure-based strategies
⚠️ Important Notes
🔹 SAYO Zones is not a buy or sell guarantee 🔹 No indicator predicts the future 🔹 Always apply proper risk management 🔹 Best results come from combining this tool with a complete trading plan
🧠 Why SAYO Zones
🔹 Most indicators show too much information. 🔹 SAYO Zones is designed to show only what matters. 🔹 Whether you are a beginner learning structured trading, or an advanced trader refining execution, this tool helps you trade with more confidence and consistency.
🔔 Alerts
🔹 Custom alerts are included to notify you when potential conditions align, allowing you to stay focused without watching the chart continuously.
📌 Final Thought
🔹 SAYO Zones is not about trading more. 🔹 It is about trading better.
Liquidity ZonesThis indicator automatically identifies and plots high-probability support and resistance zones based on institutional flow and pivot math. Unlike standard indicators that show every possible level, this script uses a smart "Volume & Velocity" filter to only display zones where significant market activity occurred.
These zones represent Market Inefficiencies. They mark specific price levels where the market moved aggressively away from 'zones' without looking back. These 'gaps' in the auction process often act as magnets for price, forcing a return to the zone to fill pending institutional orders and rebalance the market
Key Features
1. Smart Filtering: Only plots zones created during selected timeframes with Strong Trend
Momentum or Price/Volume Divergence. Weak zones are automatically ignored to keep the
chart clean.
2. Auto-Invalidation: Zones are projected forward in time until price touches them. Once price
enters a zone, it automatically turns gray and stops extending, indicating the liquidity has
been tested.
How to Use
1. Blue Boxes (Fresh Zones): These are untested liquidity levels. Look for price reactions
(reversals or bounces) when price approaches these extended blue zones.
2. Sky Blue Boxes (Tested Zones): Once a candle touches a blue box, it turns Sky Blue. This
means the level is no longer "fresh" and should be treated with caution or ignored.
3. Timeframes: This indicator is fractal, meaning it works on any timeframe, you can use 1,3,5 for ltf confirmations and scalping and 15,30,1h for htf confluence or intraday trading
Settings
# Show Filtered Zones: Toggle the visibility of the boxes on/off.
# Zone Timeframe: Controls the data used to calculate the zones.
# Colors: Customize the color of Fresh (Untested) vs. Touched (Tested) boxes.
-- 1nonly V
High Momentum Breakout Scoring System (SEPA & CANSLIM Based)🚀 概览 / Overview
本指标是一个量化评分工具,旨在识别具有高爆发潜力的“动量突破”股票。它结合了 Mark Minervini 的 SEPA 方法论和 William O'Neil 的 CANSLIM 策略核心要素,专门针对 1 周左右的短期波动进行了权重优化。
This indicator is a quantitative scoring tool designed to identify "Momentum Breakout" stocks with high explosive potential. It combines key elements of Mark Minervini's SEPA methodology and William O'Neil's CANSLIM strategy, with weights optimized specifically for short-term (approx. 1 week) price movements.
🔍 核心逻辑 / Core Logic
该系统分为两个阶段进行评估: The system evaluates stocks in two distinct stages:
1. 门槛检查 (Hard Thresholds): 必须满足趋势模板(Trend Template)基础条件,包括:
价格必须位于 MA50, MA150, MA200 之上。
MA200 保持上升趋势。
当前价格距离 52 周高点在 25% 以内。
2. 权重评分系统 (Weighted Scoring - Total 100): 如果通过门槛检查,系统将根据以下维度进行动态评分:
突破成交量 (25%): 评估爆发力。
整理紧密度 (15%): 寻找波动收缩(VCP)特征。
RS 相对强度状态 (12%): 确保股票跑赢大盘。
VCP 形态完整性 (8%): 检测价格波动的递减收缩。
其他维度: 包括成交量萎缩、短期均线排列、量价配合及 A/D 派发线等。
📊 如何使用 / How to Use
A 级 (85-100): 强力买入/观察信号。符合高动量突破的所有特征。
B 级 (70-84): 良好的突破形态,适合建立初始仓位。
C/D/F 级: 动量不足或处于调整期,建议观望。
注意: 如果门槛检查未通过(显示 ✗),总分将自动减半以示风险。
⚠️ 免责声明 / Disclaimer
本脚本仅用于教育和研究目的,不构成任何投资建议。交易涉及风险,请务必配合个人的风险管理计划使用。 This script is for educational and research purposes only and does not constitute investment advice. Trading involves risk; please use it in conjunction with your personal risk management plan.
Sweep AnalyzerA comprehensive liquidity sweep detection indicator that identifies false breakouts (sweeps) of swing highs and lows, measures their depth, and provides statistical analysis to help optimize stop-loss placement.
🎯 Overview
This indicator is designed for traders who use Smart Money Concepts (SMC), ICT methodology, or price action strategies. It automatically detects when price “sweeps” (falsely breaks) key swing levels and returns back, which often indicates liquidity grabs by institutional traders.
The unique feature of this indicator is its ability to measure the depth of each sweep in points/pips and calculate statistics, helping you understand how far price typically goes beyond levels before reversing. This data is invaluable for setting optimal stop-loss distances.
⚙️ Features & Settings Explained
Settings Group
Cooldown Period (bars) — Minimum number of bars between sweep signals. Prevents multiple signals in the same area. Default: 10
Show Statistics Table — Toggle the statistics panel on/off
Table Position — Choose corner placement: Top Left, Top Right, Bottom Left, Bottom Right
Table Size — Small, Normal, or Large text size for the table
Pivot Settings
Pivot Left Bars — Number of bars to the left required to confirm a swing point. Higher values identify more significant levels. Default: 20
Pivot Right Bars — Number of bars to the right required to confirm a swing point. Default: 20
How it works: A swing high is confirmed when the high is higher than all bars within the left AND right lookback period. Same logic applies for swing lows (lowest of the range).
Sweep Detection
Sweep Lookback (bars ) — How far back to look for valid swing levels to sweep. Default: 100
Strict Mode (original logic) — When enabled, uses the original SFP (Swing Failure Pattern) detection which requires specific candle patterns. When disabled, uses enhanced detection that tracks multi-bar sweeps.
Enhanced Mode (Strict Mode OFF):
→ Detects sweeps that develop over multiple bars
→ Price can stay beyond the level for several candles
→ Tracks the deepest point reached during the sweep
→ More flexible and catches more setups
Strict Mode (ON):
→ Classic SFP detection
→ Requires price to sweep and close back in one move
→ More conservative, fewer but higher-quality signals
Sweep Filters
Max Bars in Sweep — Maximum bars price can stay beyond the level. If exceeded, it’s considered a breakout, not a sweep. Default: 10
Max Sweep Depth (ATR multiplier) — Maximum sweep depth as ATR multiple. Sweeps deeper than this are filtered out as breakouts. Default: 3.0
ATR Length — Period for ATR calculation used in filters. Default: 14
If price goes too deep beyond a level or stays there too long, it’s likely a real breakout, not a liquidity sweep. These filters prevent false signals during trending markets.
Sweep Confirmation
Confirmation Bars — How many consecutive bars price must close back beyond the level to confirm the sweep. Default: 2
Min Return Depth (ATR mult) — Minimum distance price must return beyond the level (as ATR multiple) to count as valid return. Default: 0.3
📊 Statistics Table
The table displays real-time statistics for all detected sweeps:
Count — Total number of sweeps detected (Bull/Bear/Total)
Avg (pts) — Average sweep depth in points. This is the key metric for SL placement
Median (pts) — Median sweep depth, useful when you have outliers
Max (pts) — Deepest sweep recorded
Min (pts) — Shallowest sweep recorded
SL Buffer — Suggested stop-loss distance (Average × 1.2)
⚠️ Important Notes
Point Calculation: The indicator automatically detects instrument type. For Forex with 5 decimals it displays in pipettes (multiply by 0.1 for pips). For Forex with 4 decimals it displays in pips. For other instruments it displays in points.
Historical Data: Statistics are calculated from all visible chart data. Scroll left to include more history for better averages.
Timeframe Matters: Sweep characteristics vary by timeframe. Run the indicator separately on each TF you trade.
Not Financial Advice: This indicator is a tool for analysis. Always combine with other confluence factors and proper risk management.
🔔 Alerts
Two alert conditions are available:
→ Bullish Sweep: Triggers when a bullish sweep is confirmed
→ Bearish Sweep: Triggers when a bearish sweep is confirmed
Set up alerts via TradingView’s alert menu for real-time notifications.
💡 Pro Tips
→ Start with defaults and adjust based on your instrument/timeframe
→ Increase Pivot bars (25-30) for higher timeframes to catch more significant levels
→ Decrease Max Bars in Sweep (5-7) for scalping to filter slow moves
→ Use Strict Mode if you want fewer but more reliable signals
→ Compare median vs average — if very different, you have outliers affecting your SL calculation
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Комплексный индикатор для определения свипов ликвидности (ложных пробоев) свинг-хаев и свинг-лоу. Измеряет глубину каждого свипа и предоставляет статистический анализ для оптимизации размещения стоп-лоссов.
🎯 Обзор
Индикатор разработан для трейдеров, использующих концепции Smart Money (SMC), методологию ICT или стратегии Price Action. Он автоматически определяет моменты, когда цена “свипает” (ложно пробивает) ключевые свинг-уровни и возвращается обратно, что часто указывает на сбор ликвидности институциональными игроками.
Уникальная особенность индикатора — измерение глубины каждого свипа в пунктах/пипсах и расчёт статистики. Это помогает понять, как далеко цена обычно заходит за уровень перед разворотом. Эти данные бесценны для установки оптимального расстояния стоп-лосса.
⚙️ Описание функций и настроек
Основные настройки (Settings)
Strict Mode — Включает строгий режим с оригинальной логикой SFP. При выключении используется расширенное определение многобаровых свипов.
Cooldown Period (bars) — Минимальное количество баров между сигналами свипа. Предотвращает множественные сигналы в одной области. По умолчанию: 10
Show Statistics Table — Включить/выключить панель статистики
Table Position — Выбор угла размещения: Top Left, Top Right, Bottom Left, Bottom Right
Table Size — Размер текста таблицы: Small, Normal, Large
Настройки пивотов (Pivot Settings)
Pivot Left Bars — Количество баров слева, необходимое для подтверждения свинг-точки. Большие значения определяют более значимые уровни. По умолчанию: 20
Pivot Right Bars — Количество баров справа, необходимое для подтверждения свинг-точки. По умолчанию: 20
Как работает: Свинг-хай подтверждается, когда максимум свечи выше всех баров в пределах левого И правого периода просмотра. Та же логика применяется для свинг-лоу (минимум диапазона).
Определение свипа (Sweep Detection)
Sweep Lookback (bars) — Как далеко назад искать валидные свинг-уровни для свипа. По умолчанию: 100
Расширенный режим (Strict Mode ВЫКЛ):
→ Определяет свипы, развивающиеся на нескольких барах
→ Цена может оставаться за уровнем несколько свечей
→ Отслеживает самую глубокую точку во время свипа
→ Более гибкий, ловит больше сетапов
Строгий режим (Strict Mode ВКЛ):
→ Классическое определение SFP
→ Требует свип и закрытие обратно за один бар
→ Более консервативный, меньше но более качественных сигналов
Фильтры свипа (Sweep Filters)
Max Bars in Sweep — Максимальное количество баров, которое цена может находиться за уровнем. При превышении считается пробоем, а не свипом. По умолчанию: 10
Max Sweep Depth (ATR multiplier) — Максимальная глубина свипа как множитель ATR. Свипы глубже этого значения фильтруются как пробои. По умолчанию: 3.0
ATR Length — Период для расчёта ATR, используемого в фильтрах. По умолчанию: 14
Если цена заходит слишком глубоко за уровень или остаётся там слишком долго, это скорее всего реальный пробой, а не свип ликвидности. Эти фильтры предотвращают ложные сигналы на трендовых рынках.
Подтверждение свипа (Sweep Confirmation)
Confirmation Bars — Сколько баров подряд цена должна закрываться обратно за уровнем для подтверждения свипа. По умолчанию: 2
Min Return Depth (ATR mult) — Минимальное расстояние, на которое цена должна вернуться за уровень (как множитель ATR), чтобы считаться валидным возвратом. По умолчанию: 0.3
📊 Таблица статистики
Таблица отображает статистику в реальном времени для всех обнаруженных свипов:
Count — Общее количество свипов (Bull/Bear/Total)
Avg (pts) — Средняя глубина свипа в пунктах. Ключевая метрика для размещения SL
Median (pts) — Медианная глубина свипа, полезна при наличии выбросов (аномальное значение, сильно отличающееся от остальных.)
Max (pts) — Самый глубокий свип
Min (pts) — Самый мелкий свип
SL Buffer — Рекомендуемое расстояние стоп-лосса (Среднее × 1.2)
⚠️ Важные замечания
Расчёт пунктов: Индикатор автоматически определяет тип инструмента. Для Forex с 5 знаками отображает в пипетках (умножьте на 0.1 для пипсов). Для Forex с 4 знаками отображает в пипсах. Для других инструментов отображает в пунктах.
Исторические данные : Статистика рассчитывается по всем видимым данным графика. Прокрутите влево, чтобы включить больше истории для лучших средних значений.
Таймфрейм важен: Характеристики свипов различаются на разных таймфреймах. Запускайте индикатор отдельно на каждом ТФ, который торгуете.
Не является финансовой рекомендацией: Этот индикатор — инструмент для анализа. Всегда комбинируйте с другими факторами подтверждения и правильным управлением рисками.
🔔 Алерты
Доступны два условия для алертов:
→ Bullish Sweep: Срабатывает при подтверждении бычьего свипа
→ Bearish Sweep: Срабатывает при подтверждении медвежьего свипа
💡 Советы
→ Начните с настроек по умолчанию и корректируйте под ваш инструмент/таймфрейм
→ Увеличьте Pivot bars (25-30) для старших таймфреймов, чтобы ловить более значимые уровни
→ Уменьшите Max Bars in Sweep (5-7) для скальпинга, чтобы фильтровать медленные движения
→ Используйте Strict Mode если хотите меньше, но более надёжных сигналов
→ Сравнивайте медиану и среднее — если сильно отличаются, у вас есть выбросы, влияющие на расчёт SL





















