EMA Crossover with Pine Logs2We are exclusively licensed Austria Guides and count on smaller groups – this is how communication with the guests works best. Exciting facts and a large portion of humour are part of our tours, just like a lot of experience and knowledge off the beaten track. We even infect die-hard Vienna connoisseurs with our enthusiasm for the city! If you want to get to know Vienna differently than the average tourist, then we are your perfect partner: We make sure that your travel stories are nowhere to be found.
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LH Alert Orb & SessionsLH Alert Orb & Session Levels
LH Alert ORB & Sessions is a multi-module intraday trading overlay that combines an Opening Range Breakout (ORB) framework, automated session reference levels, and a “Sniper” alert engine designed to highlight higher-quality momentum entries during a defined New York trading window. It is optimized for index futures—especially NQ/MNQ—and is best used on a 5-minute chart for the intended balance of signal quality and structure clarity.
The indicator plots EMA 10/20/200 and VWAP for trend/mean reference, then generates Sniper Long/Short alerts only when multiple conditions align: directional EMA trend (10 vs 20), reclaim confirmation relative to VWAP and EMA200 within a configurable lookback window, optional “recent cross” validation, and optional RSI and volume expansion filters. To reduce low-quality signals, the Sniper engine includes comprehensive candle-quality rules (minimum body % to avoid dojis, max wick-to-body ratios to avoid wicky indecision candles, hammer-like rejection filtering, and an optional “wick battle” filter that blocks candles where either wick represents an outsized share of the candle range). Alerts can also be gated by proximity to the current ORB and, optionally, require that both VWAP and EMA200 are contained within the opening range to enforce tighter structure-based entries.
The ORB module supports a configurable opening-range duration and an optional custom session (default 08:00–08:15 UTC-5), draws the opening range box, OR High/Low/Mid levels, and optionally displays breakout markers and bias-aware target logic (all breakout signals and targets are disabled by default for a clean chart). Historical ORB drawings can be preserved or hidden based on preference.
In addition, the Sessions module continuously tracks and draws key market structure levels for Asia, London, and PreMarket sessions (High/Low and an average line for each), along with prior trading day high/low using a futures-style trading day definition (rolling at 18:00 New York time). Each level is fully style-customizable (color, line style, width), providing a complete intraday roadmap of session extremes and mean levels alongside the Sniper/ORB framework.
This script is intended for intraday charts only (it enforces a timeframe below 1D) and is designed to be used as an alert-driven decision aid—prioritizing confluence, structure, and candle quality to reduce noise while keeping all major components configurable via grouped settings.
Engulfing Candle Mid-pointsThis Pine Script, “Engulfing Candle Mid-points,” identifies bullish and bearish engulfing candles within a user-selected intraday time range. For a candle to qualify, it must fully engulf the previous candle’s body in the opposite direction and meet a configurable minimum body size in points. When such a candle is detected, the script draws a horizontal line at the mid-point of the candle’s body, extending forward for a user-defined number of bars. The script stores only the five most recent bullish and bearish lines to keep the chart clean, and all line colors, widths, and extension lengths are configurable, allowing traders to visually track significant price moves during specific trading sessions.
RSI < 30 BUY | RSI > 70 SELL (One-Time) TSMThis script is a clean, non-repainting RSI-based trading indicator designed for scalping and intraday trading. It focuses on extreme market conditions and gives one-time BUY and SELL signals only, avoiding repeated or noisy alerts.
MTF Trend Zone NIFTYI am Arpit Sharma , with an experience of over 6 years in derivative trading . This indicator works on nifty only and gives trend bases buy /sell signal .
True FVGsThis script highlights 3-candle Fair Value Gaps (FVGs) on your chart, showing areas where price moved quickly and left potential gaps in market structure. Bullish FVGs are shown with green boxes and suggest possible support, while bearish FVGs are shown with red boxes and suggest possible resistance. It also includes doji candles—very small-bodied candles that indicate indecision—so these patterns are not missed. The script displays the most recent 5 FVGs, making it easy to spot recent potential areas where price may react.
SilverHawk Flip Confirm (4-Step)This premium indicator identifies high-probability trend flips using a 4-step confirmation sequence (Sweep → Displacement → BOS → Retest/Hold) with zone-based filters.
Core logic & how it works:
- Step 1 (Sweep): price wicks through a recent Supply/Demand area or Order Block (ATR-buffered)
- Step 2 (Displacement): strong candle body (ATR size + min body %) after sweep
- Step 3 (BOS): price breaks previous swing high/low
- Step 4 (Retest + Hold): price retests the entry zone (OB or S&D area) without breaking opposite side
- Zone modes: Hybrid (S&D area + OB entry), Supply/Demand only, or Order Block only
- Non-repainting option (confirmed bars only)
- Timeout: max bars between steps to avoid stale setups
Features:
- Visual zones (boxes) for S&D areas & OBs (toggleable)
- Step labels (Sweep/Disp/BOS/Retest) on signal candles
- Small panel with current steps, confidence %, and perfect sequence reminder
- Alerts for full flip confirmation + individual steps
- Customizable zone padding, pivot lengths, ATR buffers
Settings:
- Zone Mode: Hybrid, Supply & Demand only, Order Block only
- Use Confirmed Bars Only: non-repainting toggle
- Max Bars Between Steps: timeout for sequence
- Pivot lengths for S&D and BOS
- ATR multipliers for sweep buffer, displacement, padding, retest tolerance
- Visuals: show zones/labels/panel
- Alerts: enable/disable full flip + step triggers
Best used on H1–D4 timeframes in Forex or indices for spotting trend reversals or continuations after liquidity sweeps. Combine with higher-timeframe structure and risk management.
Invite-only access. Educational tool only. Not financial advice. Trading involves risk.
SilverHawk Scenario Matrix ProThis premium indicator scans historical price patterns and projects forward-looking scenarios based on similarity to past analogs.
Core calculation & how it works:
- Current window (length L) normalized for shape, volatility, RVOL, trend slope, structure
- Scans up to 2000 bars back (configurable) to find top K most similar past windows
- Weights similarity across shape correlation, vol regime, RVOL regime, trend slope, structure
- Projects forward H bars using the matched historical paths → computes P10 (low), P50 (median), P90 (high) quantiles
- Smooths projections (configurable %) to reduce noise
- Calculates metrics: match quality (MatchQ), uncertainty %, confidence, regime, gate pass/fail, quality rating (A/B/WAIT)
Features:
- Visual projection lines (P10 red, P50 white, P90 green) with endpoint labels
- Decision table: bias, confidence, MatchQ, uncertainty, regime, gate, strength, volume, near HTF, expected range
- Optional smoothing on projections (0–100%)
- Update modes: Locked (fixed on signal), On Close, Live
- Alerts on new high-quality scenarios (optional)
Settings:
- Pattern length L & projection horizon H
- History bars to scan & min gap from present
- Top K matches to consider
- Similarity weights (shape, vol, RVOL, trend, structure)
- Regime thresholds & normalizers
- Decision thresholds (MatchQ, confidence, uncertainty, bias)
- Display: location, manual panel, smoothing %, update mode
- Projection plot: show lines, colors, style
Best used on H1–D1 timeframes in Forex or indices for forward-looking pattern-based forecasting and scenario planning. Combine with structure, volume confirmation and risk management.
Invite-only access. Educational tool only. Not financial advice. Trading involves risk.
Buy & Hold, Exit Today [Daily]When to buy and Hold best strategy.
INvestor type strategy. Only buy when the stocks perform. not when it doesnt.
ATR+Highest high&lowest low stop loss 5.0ATR+Highest high&lowest low stop loss 5.0ATR+Highest high&lowest low stop loss 5.0ATR+Highest high&lowest low stop loss 5.0ATR+Highest high&lowest low stop loss 5.0ATR+Highest high&lowest low stop loss 5.0
bosstvs tikole sir + VWAP + EMA21 + SMA50Simple VWAP + SMA Trend with Pivot High/Low
📖 Description
This indicator is designed to identify bullish and bearish market conditions using VWAP, 21 SMA, and 50 SMA, along with Pivot High and Pivot Low lines for structure-based support and resistance.
It helps traders quickly understand trend direction, market bias, and key price levels on any timeframe.
✅ Bullish Conditions
Price is above 21 SMA
Price is above VWAP
🟢 Indicates strong bullish momentum.
❌ Bearish Conditions
Price is below 21 SMA
Price is below 50 SMA
Price is below VWAP
🔴 Indicates strong bearish momentum.
📐 Pivot High / Low
Pivot High lines act as resistance
Pivot Low lines act as support
Helps in identifying breakouts, reversals, and structure
🎯 Best Use
Intraday & Swing trading
Trend confirmation
Support & Resistance mapping
Works well with price action strategies
LOT SIZE CALCULATOR CFDS stef_NQcalculadora de lotaje de cfds de indices, funciona para varias cuentas a la vez
OB BB Script1 Akashwhat description you want from me, I don't want to give you any description. You fucking remove you unwanted validation from this unnessary text box.
StO Price Action - Decision LevelsShort Summary
- Detects so-called Decision Levels based on engulfing-style candle structures
- Highlights price areas where market control shifts decisively
- Designed to mark high-impact reaction levels
Full Description
Overview
- Identifies Decision Levels using multi-candle engulfing logic
- Evaluates three consecutive candles to detect directional dominance
- Long Decision Levels form after bearish pressure is fully absorbed and reversed
- Short Decision Levels form after bullish pressure is fully absorbed and reversed
- Levels are anchored to structurally relevant candle prices
- Supports multiple engulfing variants for robustness
Logic
- Decision Levels represent areas of decisive order flow imbalance
- Conceptually similar to engulfing patterns but structurally stricter
- Each level marks a price where control clearly changes hands
- Works on configurable timeframes
- Visualized directly on the chart with optional markers
Usage
- Select the timeframe used to detect Decision Levels
- Configure line style, length, and colors for long and short levels
- Enable background highlights or triangle markers
- Use Decision Levels as reaction zones, entry references or confluence points
Notes
- Decision Levels are structure-based, not signal-based
- No repainting once a level is confirmed
- Best used in combination with market structure or SnR
- Higher timeframes produce fewer but more significant levels
- Designed to highlight intent, not predict direction
Psico LevelsPsychological Levels - 000 / 250 / 500 / 750
This indicator automatically draws psychological price levels (.000, .250, .500, .750) directly on your chart.
Psychological levels are "round" prices that tend to attract traders' attention and often act as natural support/resistance zones. These levels are particularly relevant in forex, crypto, and indices.
FEATURES:
- Horizontal lines at .000, .250, .500, .750 levels
- Enable/disable each level individually
- Customizable colors for each level type
- Adjustable base step (default 1.0)
- Lines automatically extend to the right
SETTINGS:
- Base Step: sets the interval between main levels (1.0 = 1.000)
- Show .000/.250/.500/.750: toggle individual levels on/off
- Customizable colors for each level
HOW TO USE:
Ideal for identifying significant price zones where market reactions are likely to occur. The .000 and .500 levels are generally the most relevant, while .250 and .750 provide intermediate levels.
Perfect for scalping, day trading, and swing trading on any timeframe.
Crypto Engine ProCrypto Engine Pro is a proprietary trend-structure and price-behavior indicator designed specifically for BTC and ETH markets.
It combines Price structure, dynamic trend midlines, and adaptive trend lines to help traders visually identify trend direction, momentum shifts, and structure breaks with clarity.
🔹 Key Features
📈 Dynamic Trend Detection
Identifies bullish and bearish phases using price structure and internal equilibrium levels.
📐 Trend Midline (Running)
Continuously updates based on the active trend, helping visualize balance and continuation zones.
🔺 Multi-Trend Line System
Primary structure line from previous trend extreme
Designed to reflect real market structure, not lagging signals
🎨 Trend-Based Visuals
Background color reflects active trend
Bar color changes on structure breaks relative to the main trend line
🔔 Trend Flip Alerts
Alerts on bullish and bearish structure flips
Helps traders stay aligned with dominant momentum
⚠️ Important Note
Crypto Engine Pro currently works only on BTC and ETH charts.
If applied to any other symbol, the indicator will display a restriction message and disable visuals.
🧠 Who Is This For?
Crypto traders focusing on BTC & ETH
Traders who prefer structure-based trend analysis
Those looking for visual clarity over cluttered indicators
📌 Usage Disclaimer
This indicator is a visual decision-support tool and should not be used as a standalone trading system.
Always combine with proper risk management and higher-timeframe context.
Version: Crypto Engine Pro
Shymkent Trading: Sell/Buy SignalsShymkent Trading: Sell/Buy Signals
Description
Shymkent Trading: Sell/Buy Signals is a comprehensive trading system that combines multiple technical analysis tools to provide clear entry and exit signals. Designed for traders of all levels, this indicator offers sophisticated trend analysis, risk management features, and real-time market insights in one powerful package.
Key Features
📈 Advanced Signal Generation
Supertrend-based Signals: Primary buy/sell signals based on customizable Supertrend indicator
Pullback Detection: Specialized signals for identifying optimal pullback entries
Signal Strength Classification: Distinguishes between normal and strong signals for better trade selection
Multiple Presets: Choose between "All Signals", "Strong+", and "Trend Scalper" modes
🔍 Smart Signal Filters
Trend Filter: Show only trending market signals
Volume Filter: Filter signals based on volume activity
Strength Filter: Display only strong signals
Contrarian Mode: Identify counter-trend opportunities
Cloud-based Signals: Signals confirmed by trend cloud analysis
🎨 Visual Customization
Candle Coloring: Multiple heatmap modes (Trend Gradient, Signal Based, RSI Gradient)
Trend Cloud Visualization: Color-coded cloud showing market direction
Trend Tracer: Long-term EMA for trend filtering
Custom Signal Styles: Choose between normal or minimal display styles
📊 Risk Management Suite
Dynamic Take Profit Levels: Three customizable profit targets
Trailing Stop Loss: Automated trailing stop protection
Stop-Loss Areas: Visual representation of risk zones
Market Structure Analysis: Swing high/low identification
📱 Smart Dashboard
Multi-Timeframe Trend Analysis: Bullish/Bearish status across different timeframes
Market State Detection: Trending/Ranging identification
Liquidity Monitoring: Volume activity analysis
Institutional Activity: Large volume movement detection
Session Tracking: Global trading session monitoring
Trend Pressure: Current market momentum assessment
⚡ Alert System
Signal Alerts: Notifications for buy/sell signals
Risk Management Alerts: Stop-loss and take-profit notifications
Cloud Transition Alerts: Trend cloud changes
Customizable Alert Types: Choose which alerts to activate
Technical Components
Core Indicators
Supertrend: Primary trend-following component
RSI-Based Trend Shifter: Contrarian signal detection
WaveTrend Oscillator: Pullback signal generation
MACD & Moving Averages: Confirmation and filtering
Volume Analysis: Institutional activity detection
Smart Panel Features
MTF Analysis: 5M, 15M, 30M, 1H, 4H trend status
Market Condition: Trending/Ranging/No Trend
Liquidity Score: Percentage-based volume activity
Session Overlap: Identifies active trading sessions
Trend Direction: Bullish/Bearish/Flat assessment
Recommended Settings
For Beginners:
Presets: "All Signals"
Sensitivity: 3.9 (default)
Signal Tuner: 25 (default)
Show PullBack Signals: On
Smart Panel: On
For Intermediate Traders:
Presets: "Strong+"
Signal Filters: Trending Signal Only + High Volume Signals
Risk Management: All TP levels + Trailing SL
Visual: Signal Based candle coloring
For Advanced Traders:
Presets: "Trend Scalper"
Contrarian Mode: On for counter-trend opportunities
All Filters: Active for maximum signal quality
Dashboard: Full customization based on trading style
Trading Strategy
Entry Signals:
Primary Signals: Wait for Supertrend crossover signals
Confirmation: Check Smart Panel for MTF alignment
Volume Check: Ensure adequate liquidity
Risk Setup: Set stop-loss immediately after entry
Exit Strategy:
Take Profit 1: Conservative exit (0.5x risk)
Take Profit 2: Main target (1x risk)
Take Profit 3: Extended target (1.5x risk)
Trailing Stop: Protect profits during strong trends
Risk Management:
Always use stop-loss orders
Position size based on stop-loss distance
Consider multiple timeframe confirmation
Monitor Smart Panel for market condition changes
Installation & Setup
Add to Chart: Apply indicator to any TradingView chart
Basic Configuration: Start with default settings
Customize Appearance: Adjust colors and styles to preference
Set Alerts: Configure notification preferences
Test Strategy: Paper trade before live implementation
Compatibility
Timeframes: All timeframes (1M to Monthly)
Markets: Forex, Stocks, Cryptocurrencies, Commodities
Platform: TradingView only
Version: Pine Script v5
Disclaimer
⚠️ Important Notice:
This is a technical analysis tool, not financial advice
Past performance does not guarantee future results
Always use proper risk management
Test thoroughly in demo accounts before live trading
The developer is not responsible for trading losses
Support & Updates
For optimal performance:
Keep indicator updated to latest version
Adjust sensitivity based on market volatility
Use multiple confirmation methods
Combine with fundamental analysis when possible
Future Swing [BigBeluga]🔵 OVERVIEW
Future Swing is a swing-based projection tool that estimates the potential size and price target of the next swing move using historical swing behavior.
Instead of predicting direction randomly, it analyzes completed swing legs, measures their percentage moves, and projects a statistically derived swing target into the future.
The indicator combines swing structure, high/low zones, volume context, and a real-time dashboard to help traders anticipate where price may travel next.
🔵 CONCEPTS
Swing Detection — Swing highs and lows are identified using a configurable lookback length.
Swing Percentage Tracking — Each completed swing leg is converted into a percentage move and stored.
Statistical Projection — Future swing size is estimated using Average, Median, or Mode of past swing percentages.
Directional Awareness — Projections adapt automatically based on current swing direction.
🔵 FEATURES
Historical Swing Sampling —
• Uses a user-defined number of completed swings.
• More samples = smoother projection, fewer samples = faster adaptation.
Future Swing Projection —
• Dashed line projects the estimated swing target forward in time.
• Projection distance is visual-only and does not affect calculations.
High/Low Swing Zones —
• Upper and lower swing zones expand using ATR distance.
• Zones visualize potential reaction and rejection areas.
Volume Context per Swing —
• Buy and sell volume are accumulated during each swing leg.
• Delta and total volume are displayed in the dashboard.
Smart Dashboard —
• Displays each stored swing percentage.
• Shows calculated swing projection value.
Flexible Projection Method —
• Average: smooth and balanced.
• Median: filters out extreme outliers.
• Mode: focuses on the most common swing size.
Extendable Zones —
• Swing zones can optionally extend forward indefinitely.
🔵 HOW TO USE
Anticipate Swing Targets — Use the projected swing line as a probabilistic price objective.
Combine with Structure — Align projections with support, resistance, or liquidity zones.
Filter by Volume — Confirm swing quality using delta and total volume metrics.
Adjust Sensitivity — Tune swing length and historical sample size to match timeframe and volatility.
Context, Not Certainty — Use projections as guidance, not fixed take-profit levels.
🔵 CONCLUSION
Future Swing transforms past swing behavior into a forward-looking projection model.
By combining swing structure, statistical aggregation, ATR zones, and volume analysis, it offers traders a structured way to estimate where the next meaningful price move may reach — without relying on fixed targets or subjective assumptions.
FXWMarkets.com Hybrid Ichimoku + Auto TrendlinesFXWMarkets.com Hybrid Ichimoku + Auto Trendlines
with clear buy sell signals panel deep research algo fast trend detections
HoneG_CCIv25HoneG_CCIv25
This is a signal tool capable of both counter-trend and trend-following trading. Apply it to 1-minute charts.
For trend-following, it features a rapid-fire mode. When conditions align, rapid-fire mode activates, and two indicators signaling the rapid-fire timing will turn ON/OFF in sync with price extension moments.
逆張りも順張りも出来るサインツールです。1分足チャートに適用してください。
順張りには連打モードがあり、条件が揃うと連打モードが発動し、連打タイミングを知らせる二か所の表示が、価格が伸びるタイミングに合わせてON/OFFします。
CSS Reversal - VAThis indicator identifies a price action reversal pattern known as CSS (Candle Stop Setup). Unlike standard 3-candle patterns, this logic is dynamic and "hunts" for the true peak or valley before confirming a shift in momentum.
Core Logic & Rules
The script follows a specific sequence of "Initiation, Waiting, and Triggering" to ensure it captures high-probability reversals:
1. Initiation (The Sweep): The process starts when a candle (the Pivot) sweeps the liquidity of the previous candle.
Bearish: Candle 2 makes a higher high than Candle 1.
Bullish: Candle 2 makes a lower low than Candle 1.
2. Identifying the Extreme: The script tracks the absolute highest high (for bearish) or lowest low (for bullish) during the setup. If a subsequent candle goes higher/lower without triggering a close, the "mark" moves to that new extreme candle.
3. The Waiting Room (Inside Bars): The setup remains active even if several candles follow that do not break out of the Pivot's range. The script can wait indefinitely (e.g., 3, 4, or 5+ candles) as long as the original extreme is not breached.
4. The Trigger (The Confirmation): A signal is only confirmed when a candle closes past the opposite side of the extreme candle's body.
Bearish Trigger: A candle closes below the Low of the highest candle.
Bullish Trigger: A candle closes above the High of the lowest candle.
5. Retrospective Marking: Once the trigger close occurs, the script automatically places a visual marker (arrow) on the actual extreme candle (the peak or valley), even if that candle occurred several bars ago.
Visual Indicators
Red Arrow (↓): Placed at the high of the highest candle in a confirmed bearish reversal.
Green Arrow (↑): Placed at the low of the lowest candle in a confirmed bullish reversal.
Use Cases
This script is designed for traders who look for Liquidity Sweeps and Market Structure Shifts. It filters out "fake" reversals where price merely wicks past a level without a solid closing confirmation, and it specifically accounts for "inside bar" periods where price consolidates before making its move.
Binance Event Contract Strategy Coinpred
事件合约Coinpred 策略文档
自动事件合约信号胜率67%,具体详情每单的胜负及综合胜利可在coinpred.com订阅及查看
版本:Pine Script v6
指标名称:事件合约
作者:(加密社)
适用平台:TradingView
最后更新:2026年1月
一、策略概述
《事件合约Coinpred》是一个多因子融合的反转与突破交易策略,专为捕捉短期市场情绪突变、价格结构反转及量价共振信号而设计。该策略结合了以下核心模块:
- 9步价格序列计数与倒计时机制
- 线性回归通道突破与拒绝(Linear Regression Channel Rejection)
- RSI超买/超卖区域动态重置机制
- 量能验证型锚点突破(Volume-Confirmed Anchor Breakout)
- Keltner通道三角形态识别
- 多时间尺度蜡烛形态(双/三根K线组合)
- 趋势过滤(Hull MA快慢线)
策略通过五类独立但互补的看涨/看跌信号(L1–L5 / S1–S5) 提供高置信度入场提示,适用于日内或波段交易。
二、核心逻辑模块详解
1. 9步价格序列与倒计时系统
本策略实现了一套基于价格相对关系的序列计数机制,用于识别潜在的衰竭反转点:
- 多头序列启动:当 close close 连续成立,计数从1开始,最高至9。
- 达到9后进入倒计时阶段:
- 多头倒计时:若 close = high ,则倒计时递增。
- 该机制旨在捕捉连续推动后的动能衰竭。
应用于 L3/S3 信号。
2. 线性回归通道 + 标准差带(LR Channel)
- 基于最近 effectiveLen(动态长度,最大144,受RSI重置控制)计算线性回归线。
- 上下轨 = 回归线 ± stdevMult × 标准差(默认 stdevMult = 1)。
- 价格触及上轨后收阴(Upper Reject) 或 触及下轨后收阳(Lower Reject) 视为反转信号。
是 L2/L3/L4 和 S2/S3/S4 的关键条件。
3. RSI 动态重置机制
- RSI周期:5
- 超买线:80,超卖线:20
- 当 RSI 上穿80 或 下穿20 时,触发 resetCondition,重置 LR 通道计算起点。
- 此机制确保通道始终围绕“新趋势起点”构建,避免滞后。
控制 LR 通道的有效计算窗口,并参与 L5/S5 信号。
4. 量能验证型锚点突破(VCRe)
- 牛市锚点:过去20根K线中,当前收盘价 低于所有前20根K线的最低价(极端弱势),且成交量 > 20日均量 × 1.5。
- 熊市锚点:当前收盘价 高于所有前20根K线的最高价(极端强势),且放量。
- 锚点确立后,若价格 突破锚点高/低,并满足以下任3项即触发信号:
- 锚点本身放量
- 突破时放量(>均量×1.2)
- 价格位于200EMA之上(多)或之下(空)
构成 L1/S1 信号的核心。
5. Keltner通道三角形态(KC Triangle)
- 使用 Keltner Channel(源=收盘价,长度=20,乘数=2)
- 上升三角准备(Rise Triangle Ready):
- 连续3根K线收盘下跌(ta.falling(close, 3))
- 若启用通道确认:low HMA50 > HMA100
- 空头趋势:close L3/S3 > L2/S2 > L5/S5 > L4/S4
- 多信号共振时(如同一K线出现L1+L3),可靠性显著提升。
6. 蜡烛形态识别
双K线多头:两根K线实体小、影线长,第二根收于区间上80%,且为5日最低。
三K线多头:类似逻辑扩展至三根。
要求同时满足 LR下轨拒绝 + 价格波动限制(maxPct=0.05%)
构成 L4/S4 信号。
7. 趋势过滤器(Hull MA)
快线:HMA(50),慢线:HMA(100)
多头趋势:close > HMA50 > HMA100
空头趋势:close < HMA50 < HMA100
反转信号仅在对应趋势方向有效(如 L3 需处于多头趋势)
用于 L3/S3 信号过滤。
三、五大信号类型说明
信号 触发条件 特点
L1 / S1 VCRe突破 + LR拒绝 + CBC量能反转 最强信号,融合量价、结构、情绪
L2 / S2 极值Pivot + LR拒绝 + 微幅波动过滤 捕捉短期极值反转
L3 / S3 趋势内反转 + LR拒绝(延迟2根) 趋势回调中的高胜率机会
L4 / S4 双/三K线形态 + LR拒绝 + 波动限制 经典K线组合增强
L5 / S5 RSI离开超卖/超买区 + KC三角突破 结合动量与通道突破
所有信号均需满足 价格波动限制(maxPct = 0.0005,即0.05%),避免跳空干扰。
四、参数配置说明
参数 默认值 说明
swing_period 7 极值检测窗口
sensitivity 1.8 动量灵敏度
rsiLen 5 RSI周期(短周期增强敏感性)
lrBaseLen 144 LR通道最大长度
look_back 20 VCRe锚点回溯长度
confirm_in 2 锚点确认最大等待K线数
vol_ma_length 20 成交量均线周期
anchor_vol_multiplier 1.5 锚点所需最小量能倍数
confirm_vol_multiplier 1.2 突破确认量能倍数
macro_trend_len 200 趋势判断EMA周期
maxPct 0.0005 (0.05%) 单K线最大允许波动
五、使用建议
适用场景
高流动性品种(如股指、主流外汇、BTC)
15分钟及以上周期(避免噪音)
震荡市或趋势回调阶段
风险控制
所有信号均为入场提示,不包含止损/止盈逻辑。
建议配合 ATR 动态止损(如 1.5 × ATR(14))。
避免在重大新闻发布前后使用。
信号优先级
L1/S1 > L3/S3 > L2/S2 > L5/S5 > L4/S4
多信号共振时(如同一K线出现L1+L3),可靠性显著提升。
六、免责声明
本策略基于历史数据回测逻辑编写,不构成投资建议。市场有风险,交易需谨慎。请务必在模拟盘中充分测试后再用于实盘。
📌 提示:该策略强调“事件驱动”——即价格、量能、情绪在特定结构下的非随机共振。理解其底层逻辑比盲目跟随信号更重要。
自动事件合约信号胜率67%,具体详情每单的胜负及综合胜利可在coinpred.com订阅及查看
Event Contract Coinpred Strategy Documentation
Automated Event Contract signals have a win rate of 67%. Detailed trade-by-trade results and overall performance statistics are available via subscription at coinpred.com.
- Version: Pine Script v6
- Indicator Name: Event Contract
- Author: Crypto Community
- Platform: TradingView
- Last Updated: January 2026
1. Strategy Overview
Event Contract Coinpred is a multi-factor reversal and breakout trading strategy designed to capture short-term shifts in market sentiment, price structure reversals, and volume-price confluence signals. The strategy integrates the following core modules:
- 9-step price sequence counting and countdown mechanism
- Linear Regression Channel breakout and rejection
- Dynamic RSI overbought/oversold reset mechanism
- Volume-confirmed anchor breakout (VCRe)
- Keltner Channel triangle pattern recognition
- Multi-timeframe candlestick patterns (2-bar and 3-bar combinations)
- Trend filter using Hull Moving Averages (fast/slow lines)
The strategy generates five distinct yet complementary buy/sell signal types (L1–L5 / S1–S5) to provide high-confidence entry alerts, suitable for both intraday and swing trading.
2. Core Logic Modules Explained
1. 9-Step Price Sequence & Countdown System
This module implements a price-relative sequence counter to identify potential exhaustion reversals:
- Bullish sequence starts when close close holds consecutively—count begins at 1 and maxes at 9.
- Upon reaching 9, the system enters a countdown phase:
-Bullish countdown: increments if close = high
- Designed to detect momentum exhaustion after sustained directional moves.
✅ Applied in L3/S3 signals.
2. Linear Regression Channel with Standard Deviation Bands (LR Channel)
- Computes a linear regression line over a dynamic lookback window (effectiveLen, max 144 bars), reset by RSI conditions.
- Upper/Lower bands = regression line ± stdevMult × standard deviation (default stdevMult = 1).
- A rejection signal is triggered when:
- Price touches the upper band and closes bearish (Upper Reject), or
- Price touches the lower band and closes bullish (Lower Reject).
✅ Key condition for L2/L3/L4 and S2/S3/S4 signals.
3. RSI Dynamic Reset Mechanism
- RSI length: 5
- Overbought level: 80 | Oversold level: 20
- When RSI crosses above 80 or below 20, a resetCondition is triggered, resetting the LR channel calculation window.
- Ensures the regression channel always anchors to the most recent "trend origin," reducing lag.
✅ Controls LR channel validity and participates in L5/S5 signals.
4. Volume-Confirmed Anchor Breakout (VCRe)
- Bullish anchor: Current close is lower than the lowest low of the past 20 bars (extreme weakness) and volume > 20-period SMA × 1.5.
- Bearish anchor: Current close is higher than the highest high of the past 20 bars (extreme strength) and volume is elevated.
- Once an anchor is established, a breakout above/below the anchor range triggers a signal if at least 3 of the following are true:
- Anchor bar had high volume
- Breakout bar volume > SMA × 1.2
- Price is above (for long) or below (for short) the 200-period EMA
✅ Core logic for L1/S1 signals.
5. Keltner Channel Triangle Pattern (KC Triangle)
- Uses Keltner Channel (source = close, length = 20, multiplier = 2)
- Rising triangle setup:
- 3 consecutive falling closes (ta.falling(close, 3))
- If channel confirmation enabled: low HMA(50) > HMA(100)
- Downtrend: close L3/S3 > L2/S2 > L5/S5 > L4/S4
- Signal confluence (e.g., L1 + L3 on same bar) significantly increases reliability.
6. Disclaimer
This strategy is based on historical backtesting logic and does not constitute financial advice. Trading involves substantial risk. Always test thoroughly in a simulated environment before using in live markets.
📌 Note: This strategy emphasizes event-driven trading—the non-random confluence of price, volume, and sentiment within specific structural contexts. Understanding the underlying logic is far more valuable than blindly following signals.
Automated Event Contract signals achieve a 67% win rate. For detailed per-trade outcomes and cumulative performance metrics, subscribe at coinpred.com.






















