CRT (FX/Indices & Crypto) v2.0This indicator is a complete CRT-based framework designed for traders who analyze higher-timeframe structure while executing with precision.
It combines CRT candle logic, purge detection, FVG/IFVG zones, NY-accurate PDH/PDL levels, ICT Killzones, a Bias Dashboard, and a Multi-HTF Candle Overlay into a single, non-repainting overlay.
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🔹 Core Features
1️⃣ CRT Candle Highlight (NY Session)
• Automatically highlights the two key CRT candles per day using New York time.
• Market presets:
• FX / Indices: 1AM & 1PM NY (Purge: 5AM & 5PM)
• Crypto: 4AM & 4PM NY (Purge: 8AM & 8PM)
• Custom: user-defined hours
• Tracks and stores the most recent CRT high & low range.
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2️⃣ Purge Candle Detection (Wick-Only)
A purge candle is detected only at purge hours and must:
• Wick above the CRT high or below the CRT low,
• Not close beyond the CRT range (wick-only sweep),
• Close back inside the CRT range.
• Optional tick tolerance for precision.
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3️⃣ FVG / IFVG Mapping
• Detects standard 3-candle Fair Value Gaps (FVG).
• Automatically converts invalidated gaps into Inverted FVGs (IFVG).
• Customizable colors, borders, box length, and drawing distance.
• Optional 50% equilibrium line for each gap.
• Designed to minimize clutter and object overload.
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4️⃣ Previous Day High / Low (PDH / PDL — NY Accurate)
• Draws NY-accurate Previous Day High & Low rays.
• Optional mode to compute PDH/PDL from NY 4H candles and display them on any timeframe.
• Optional labels with configurable offsets.
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5️⃣ ICT Killzones (Session Boxes)
• Asia, London, NY AM, NY Lunch, NY PM sessions.
• Custom colors, transparency, label size, and session history limit.
• Automatically hidden on 4H and higher to keep higher-TF charts clean.
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6️⃣ Bias Dashboard (Monthly / Weekly / Daily)
• Displays directional bias using the previous closed candle:
• Break above previous high → bullish
• Break below previous low → bearish
• Otherwise, sweep-and-reject logic applies
• Priority is always given to breaks over sweeps.
• Clean on-chart table with adjustable position and size.
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🟦 Multi-HTF Candle Overlay (Higher-Timeframe Context)
• Displays higher-timeframe candles (up to 3 selectable HTFs) directly on the chart.
• Candles are drawn to the right of price, using real OHLC data via request.security().
• Features:
• Custom number of candles per HTF
• Adjustable candle width and spacing
• Bullish / bearish / wick / border colors
• Optional 50% level of the previous HTF candle
• Optional labels with time remaining until HTF close
• Designed for top-down analysis without switching charts.
• Optional restriction to only show when the script’s 4H enforcement is valid.
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⚙️ General Notes
• Designed primarily for a 4H CRT workflow (optional enforcement).
• Uses New York session logic for all time-based components.
• Heavy use of drawing objects — if limits are reached, reduce:
• FVG lookback / distance
• Killzone session history
• HTF candle count
⚠️ Disclaimer
This indicator is for educational and analytical purposes only.
It does not generate trade signals and is not financial advice.
Educational
QHSI Quantum Unified標題:QHSI 系統底層邏輯協議 (供優化與深度學習用)
這份文件定義了系統在毫秒級運算中必須通過的邏輯閘 (Logic Gates)。
邏輯閘 1:位置權重 (Location Bias)規則: 「支持不做空,阻力不做多」。
執行: 系統自動檢測 Distance_to_Obstacle。若距離趨近於零,強制屏蔽反向信號。
邏輯閘 2:空間期望值 (Space Expectancy)規則: 「一出門就撞牆,不如不出門」。
演算法: (Reward / Risk) < 1.5 $\rightarrow$ Output = NULL (靜默)。
邏輯閘 3:力量對比 (Force Context)規則: 「起手重拳是真,收尾重拳是假」。
演算法映射:HTF = Green (大勢強) + LTF = Drift (回調弱) $\rightarrow$ Bias = BULLISH。在此狀態下,系統只等待 Ignition 做多,忽略所有做空信號。
邏輯閘 4:洗盤過濾 (Washout Filter)規則: 支持位前的加速 = 誘空。
演算法:Condition A: Candle > 3.0 ATR (Climax).Condition B: Touching Black Line Support.Result: INHIBIT SELL SIGNAL. (禁止做空,準備反手)。
Title: QHSI System Underlying Logic Protocol (For Optimization and Deep Learning Use)
This document defines the logic gates (Logic Gates) that the system must pass through in millisecond-level computations.
Logic Gate 1: Location Bias Rule: "Support not short, resistance not long.
" Execution: The system automatically detects Distance_to_Obstacle. If the distance approaches zero, forcibly shield reverse signals.
Logic Gate 2: Space Expectancy Rule: "If you hit a wall right after going out, better not to go out."
Algorithm: (Reward / Risk) < 1.5 $\rightarrow$ Output = NULL (silent).
Logic Gate 3: Force Context Rule: "Starting heavy punch is true, ending heavy punch is false." Algorithm mapping: HTF = Green (strong overall trend) + LTF = Drift (weak pullback) $\rightarrow$ Bias = BULLISH. In this state, the system only waits for Ignition to go long, ignoring all short signals.
Logic Gate 4: Washout Filter Rule: Acceleration before support = trap short. Algorithm: Condition A: Candle > 3.0 ATR (Climax).
Condition B: Touching Black Line Support. Result: INHIBIT SELL SIGNAL. (Prohibit shorting, prepare to reverse).
EZ Range MACD + DASH - ELECTZA**EZ Range MACD + DASH – ELECTZA**
A streamlined MACD momentum indicator built to reduce false signals in choppy markets. It combines a classic **MACD + Signal + Histogram** display with an **ATR-based range detector** that identifies low-volatility compression zones. When the market is ranging, momentum is muted and the script prioritizes “WAIT” conditions to help you avoid noise. Clear **BUY/SELL arrows** print only when MACD crossovers occur outside of detected range conditions. The built-in **dashboard** (bottom-right) gives a quick at-a-glance read of the **Overall Market State** (Bullish / Bearish / Ranging) plus the current **trade recommendation** (Buy / Sell / Wait), making it easy to track momentum and market quality without clutter.
**Disclaimer:**
This indicator/script is provided for **educational and informational purposes only** and does **not** constitute financial, investment, or trading advice. Trading and investing involve **significant risk**, and you may lose some or all of your capital. Past performance is **not** indicative of future results. Always do your own research, use proper risk management, and consider consulting a qualified financial professional. By using this script, you agree that you are solely responsible for any trading decisions and outcomes.
SMC: Multi-TF Bias & HTF BOS with SessionsOverview
The HTF BOS (Session) - Precision Lines is a comprehensive trading tool designed for Smart Money Concepts (SMC) and price action traders. It identifies Higher Timeframe (HTF) Break of Structure (BOS) levels while filtering them based on specific trading sessions. Additionally, it features a built-in Bias Dashboard that tracks trend alignment across three different timeframes to help you stay on the right side of the market.
Key Features
1. Precision HTF BOS Tracking
Unlike standard indicators that only mark the breakout candle, this script uses high-precision pivot detection to identify the exact origin of a structural high or low.
Tam Yapışık Çizgiler (Precise Lines): The BOS lines are drawn exactly from the pivot point to the breakout point, providing a clean and professional look on your chart.
HTF Integration: You can track structure from a higher timeframe (e.g., 4H) while trading on a lower timeframe (e.g., 15m or 5m).
2. Session Filtering (Time Sensitivity)
Structural breaks are most reliable when they happen during high-volume periods.
The script includes a Session Filter (London & New York).
If enabled, the indicator will only plot BOS levels that occur during your specified trading hours, helping you avoid "fake-outs" or noise during low-liquidity periods (Asian session/After-hours).
3. Multi-Timeframe Bias Dashboard
Stay aware of the "Big Picture" without constantly switching charts. The dashboard monitors three custom timeframes (e.g., Daily, 4H, 1H) and determines if the structure is Bullish or Bearish.
Strong Buy/Sell Signals: When all three timeframes align, the status cell highlights as "BUY" or "SELL."
Wait Status: If timeframes are in conflict, the dashboard suggests "WAIT," encouraging disciplined trading.
How to Use
Define Your Bias: Set your three Bias Timeframes in the settings to match your higher-level strategy.
Set Your BOS TF: Choose the timeframe you want structural breaks to be calculated from (usually one or two steps above your entry chart).
Adjust Sensitivity: Use the "Pivot Sensitivity" setting to filter between minor and major structural points.
Confirm with Session: Enable the session filter to ensure you are only trading breaks that occur during the NY or London sessions.
Settings
Bias Dashboard Settings: Customize the TFs and pivot sensitivity for trend analysis.
BOS & Session Settings: Set your target HTF for drawings and define your trading window (NY Timezone supported).
Visual Settings: Full control over colors (Bullish/Bearish), table positioning, and text sizes.
SYCRYPTO PRO v7.1Dear traders, isn’t it time to minimize your mistakes and start earning more—faster?
This is exactly where my miracle product and specially coded oscillator come in to fully solve these problems.
You can contact me for rental access.
Plus, a 7-day free trial is available!
Created by Sinan Yeşilova.
TCT ChecklistChecklist in order to make you take in account everything you need to determine if a range is worth taking or not.
CRT Market Structure Toolkit v4 ALEXCRT Market Structure Toolkit v4 — Developer Overview
CRT Market Structure Toolkit v4 is a public, protected TradingView indicator designed for discretionary traders who focus on market structure, liquidity, session behavior, and higher-timeframe (HTF) context.
The script combines multiple widely known institutional trading concepts into a single, highly configurable overlay.
It is intended to provide context and structural insight, not automated trading signals.
All logic is implemented in a protected format to prevent source-code access, while remaining fully usable as a public analysis tool.
Core Features
1. Previous Day High / Low (PDH / PDL) — Original Logic
Full 24-hour New York session tracking.
Dynamically records the true daily high and low.
Levels extend in real time until a liquidity sweep occurs.
Once swept:
Line style switches to dashed.
Level freezes permanently.
Optional clean labels that follow price until mitigation.
Configurable history depth.
PDH / PDL calculation, sweep detection, level freezing, and labeling behavior are original implementations.
2. HTF High / Low Sweep Levels — Original Logic
Tracks High / Low of any user-defined higher timeframe (default: 4H).
Levels extend forward and freeze after being swept.
Optional dynamically positioned labels.
Independent history controls.
HTF sweep logic and level lifecycle management are original to this script.
3. Fair Value Gaps (FVG) & Balanced Price Range (BPR)
Detection of bullish and bearish Fair Value Gaps using classic three-candle displacement logic.
Configurable filters:
Lookback window
Minimum gap size
Mitigation models (full, partial, or none)
Automatically highlights the nearest active FVG relative to price.
Marks Balanced Price Ranges (BPR) where bullish and bearish gaps overlap.
Credits / Inspiration
Fair Value Gap (FVG) and Balanced Price Range (BPR) concepts commonly used in institutional and ICT-style market structure methodologies.
4. Killzones (Sessions)
Time-based session boxes with dynamic high/low expansion.
Custom session times and colors.
Designed to integrate cleanly with PDH and HTF levels.
Credits / Inspiration
Killzone session concepts (Asia, London, New York).
5. Multi-Session Framework & Volume Profile
Up to six configurable global trading sessions.
Each session supports:
Visual box / area / line rendering
Session high and low
Optional Volume Profile
Volume Profile includes:
Point of Control (POC)
Value Area High / Low (VAH / VAL)
Low Volume Nodes (LVN)
Optional session status table (open / closed).
Credits / Inspiration
Session profiling and Market Profile / Volume Profile theory.
6. Auto Fibonacci Retracement
Automatic Fibonacci projection based on ZigZag pivots.
Dynamic deviation using ATR.
Supports extensions, custom levels, labels, and background fills.
Credits
Uses TradingView’s official ZigZag library (TradingView/ZigZag).
7. Opening Gaps (NWOG / NDOG)
New Week Opening Gap (NWOG)
New Day Opening Gap (NDOG)
Optional Consequent Encroachment (CE) and midpoint logic.
Historical gap management with cleanup routines.
Credits
Opening gap and consequent encroachment concepts used in institutional price delivery models.
8. HTF Candle Overlay (Advanced)
Higher timeframe candle reconstruction on lower timeframe charts.
Supports:
Multiple HTFs
Liquidity sweeps
Midpoints
FVGs and volume imbalances
HTF timers and bias filtering
Credits / Inspiration
Higher timeframe candle overlay and liquidity-based market structure methodologies.
9. SMT Divergence
Detection of Smart Money Technique (SMT) divergence between correlated instruments.
Pivot-based relative strength and weakness comparison.
Visual marking of bullish and bearish SMT conditions.
Credits
SMT divergence concept (inter-market analysis).
Design Philosophy
No trade signals.
No execution automation.
No repainting logic for decision levels.
State-aware drawings with controlled lifecycle management.
Built for discretionary traders prioritizing:
Market structure
Liquidity behavior
Higher timeframe bias
Session context
Usage, Visibility & Protection
Data Source & Instrument Note
Higher timeframe ranges (such as 4H highs and lows) may differ between futures and CFD instruments due to differences in data sources, session times, and candle construction.
This indicator calculates all levels based strictly on the selected symbol and its native data feed.
Users should be aware that HTF ranges and sweep behavior may not align perfectly across different instrument types, even when tracking the same underlying market.
This indicator is published as Public with Protected source code.
The script is fully usable by the public on TradingView charts.
Source code access, copying, modification, or derivative redistribution is not permitted.
The script is provided for personal, educational, and analytical use only.
It is not intended for commercial redistribution, resale, or inclusion in paid products or services.
Intellectual Property & Credits
PDH / PDL and HTF sweep systems are original implementations owned by the author.
Other components represent integrations or adaptations of publicly known trading concepts, credited at a conceptual level.
The script is built using original code and publicly documented methodologies only.
It does not contain or reuse any private, paid, or proprietary indicators or scripts.
Disclaimer
This script does not constitute financial advice and does not provide trade signals.
Trading involves risk. Users are solely responsible for their trading decisions and risk management.
Best settings for personal use :
imgur.com
ElectZA MACD Range Momentum Filter**ElectZA MACD Range Momentum Filter (EZ_RangeMACD)** is a clean MACD-style momentum tool that helps you avoid choppy, low-volatility periods. It uses **ATR compression** to detect when price is likely ranging (and visually shades those zones), then **filters signals** so buy/sell triggers only appear when the market is *not* in a range. You get a color-coded histogram (gray in ranges, green/red in trends), classic MACD + signal lines, and optional crossover/crossunder markers to highlight higher-quality momentum shifts.
**Disclaimer:**
This indicator/script is provided for **educational and informational purposes only** and does **not** constitute financial, investment, or trading advice. Trading and investing involve **significant risk**, and you may lose some or all of your capital. Past performance is **not** indicative of future results. Always do your own research, test strategies on a demo account, and consider seeking advice from a qualified financial professional. By using this script, you agree that you are solely responsible for any trading decisions and outcomes.
UT Bot + MACD BUY Delayed Confirm v6UT Bot + MACD BUY Delayed Confirm..even if macd cross happens afterwards signal arrives
EMA High Low [Paddylicious]The script adds two EMA with length = 20 and source "High" (blue) and source "Low" (magenta) to the chart.
Core Of My Desire {xqweasdzxcv}Core Of My Desire – Trading Indicator Documentation
Creator’s Notes
Developer: xqweasdzxcv (x²)
Current Version: 3.0.7
Telegram: t.me
Access: DM for requests
What Is Core Of My Desire
Core Of My Desire is a multi-dimensional trading intelligence system designed for traders who demand real confluence, not random arrows. It combines structure, momentum, volume, and trend into one adaptive platform that works across all markets and timeframes.
This is built for real trading conditions, not demo fantasies.
Core Philosophy
This system is built around one central idea: markets become most tradable when multiple independent analytical perspectives agree. Instead of relying on isolated indicators, the framework blends several technical disciplines into a unified decision-making process designed to highlight high-probability opportunities.
Each analytical layer operates on its own mathematical logic and timeframe sensitivity. When these separate components converge toward the same directional bias, the market enters what we define as a confluence state. These zones represent moments where momentum, structure, volatility, and trend alignment collectively suggest elevated trading probability.
The architecture combines four primary dimensions of analysis:
Momentum evaluation to measure strength, continuation potential, and exhaustion
Trend assessment to establish directional bias across multiple timeframes
Volatility measurement to adapt risk parameters to current market conditions
Price structure mapping to identify critical support, resistance, and institutional reaction zones
Rather than treating these elements independently, the system continuously cross-validates them. In trending environments, directional filters guide trade bias while momentum tools refine entry timing. In consolidating markets, oscillatory behavior becomes dominant, with structural boundaries defining trade limits. Volatility metrics dynamically adjust expectations, helping ensure stops, targets, and position sizing remain aligned with current market behavior.
This integrated approach filters out low-quality setups by requiring agreement across multiple analytical domains before signaling a trade. The result is fewer signals, but significantly higher confidence in each opportunity.
By emphasizing confirmation over frequency, the framework reflects professional trading principles: patience over impulse, structure over speculation, and consistency over randomness.
🎯 Why Traders Use It (Works Everywhere)
Trade With Conviction
Entries are generated only when multiple independent systems agree. No guesswork. Just probability stacking.
📊 One System, Infinite Applications
Scalpers: Get rapid-fire signals with minimal lag on 1-5 minute charts
Day Traders: Identify intraday opportunities with session-aware analysis
Swing Traders: Capture multi-day moves with higher timeframe confirmation
Position Traders: Build systematic approaches backed by institutional-grade analysis
Works seamlessly across Forex, Crypto, Commodities, Indices, and Stocks—no reconfiguration needed.
💎 Five Battle-Tested Strategy Engines
Each preset is purpose-built for specific market personalities:
Original: The foundation. Excels in clean, directional markets like Gold (XAUUSD). Focuses on classic structure + momentum alignment for high-clarity trends.
FlowSync: Refined for stability. Cuts through noise in normal conditions by smoothing micro pullbacks and filtering weak structure shifts.
Orderflow: Volume-aware intelligence. Dominates high-participation environments like crypto by validating moves through volume pressure and liquidity interaction.
Trend Core: Your weapon for chaos. Extracts structure from choppy, difficult markets using stronger trend filtering and higher-timeframe alignment.
VIDYA: Adaptive evolution. Automatically adjusts as momentum shifts, dynamically changing sensitivity based on volatility and market speed.
Switch between them instantly or dial in custom sensitivity—your trading, your rules.
⚡ Real-Time Market Intelligence That Actually Matters
Your dashboard becomes mission control:
Multi-Timeframe Sentiment: See what 1-minute through Daily charts are telling you simultaneously
Volume Pressure Analysis: Know when institutions are participating
Market State Classification: Instantly recognize trending vs. ranging conditions
Session Tracking: Capitalize on London/NY/Tokyo/Sydney overlaps
Live Position Status: Always know where you stand and what to watch for
🔬 Institutional-Grade Market Structure
See the market like the professionals do:
Break of Structure (BOS): Identify continuation moves before they accelerate
Change of Character (CHoCH): Catch reversals as market sentiment shifts
Supply & Demand Zones: Trade from areas where institutional orders stack
Multi-Timeframe S/R: Support and resistance that adapts across timeframes
Equal Highs/Lows Detection: Spot liquidity grabs and false breakouts
📈 Complete Trade Management System
From entry to exit, everything's calculated for you:
Automatic TP/SL Levels: Risk-reward ratios calculated from market structure, not arbitrary percentages
Triple Take-Profit Targets: Scale out systematically with TP1, TP2, and TP3
Re-Entry Signals: Build positions intelligently as trends develop
Peak Profit Alerts: Know when to lock in gains at exhaustion points
Exit Confirmations: Avoid premature exits and overholding
🎨 Your Chart, Your Way
Customize everything without losing functionality:
Color Schemes: Match your trading psychology—aggressive or conservative
Candle Coloring Modes: Market Structure, Trend Alignment, or Advanced State Analysis
Toggle Features: Show only what you need, hide what you don't
Background Indicators: Subtle visual cues or off completely
Size & Position: Dashboard and labels adjust to your screen setup
🛠️ Professional Tools Arsenal
Everything you need, nothing you don't:
Auto-Fibonacci Levels: Key retracement zones drawn automatically
Fair Value Gaps (FVG): Identify inefficiencies price tends to revisit
Trendline Breakouts: Automated detection of critical breaks
Divergence Signals: RSI-based tactical entries at turning points
Volatility Bands: Dynamic overbought/oversold zones
Volume Fluctuation Alerts: Catch anomalous participation early
🧠 The Confluence Advantage
Here's what separates this from everything else you've tried:
Most indicators give you a signal and hope it works. Core Of My Desire gives you confluence—the simultaneous alignment of multiple independent analytical methods, each built on different mathematical foundations.
When momentum, structure, volume, AND trend all agree, you're not just taking a trade—you're entering where probability is genuinely on your side. This is how professionals trade: with multiple confirmations from uncorrelated sources.
The system automatically filters low-quality setups by requiring validation across dimensions. You get fewer signals, but each one carries significantly higher win probability. Quality over quantity, always.
💼 Built For Serious Traders
This isn't for signal chasers or instant-gratification seekers. Core Of My Desire is designed for traders who:
Understand that consistent profitability requires systematic analysis
Value confluence and confirmation over rapid-fire alerts
Want to develop genuine market understanding, not just follow arrows
Need flexibility across different instruments and timeframes
Demand professional-grade tools without the complexity overhead
🎓 What You Actually Get
When you apply the indicator, you'll immediately see:
Crystal-Clear Signals: BUY/SELL with strength ratings (Strong, Very Strong)
Structural Clarity: Market breaks labeled and drawn automatically
Dynamic Levels: S/R zones that update as price evolves
Context Dashboard: Market conditions summarized in one glance
Clean Presentation: Professional charts without visual clutter
Adaptive Filtering: Trend Cloud removes false signals in choppy conditions
⚙️ Smart Signal Intelligence
The system thinks for you:
Deduplication: No repeated alerts cluttering your chart
Position Awareness: Signals adjust based on whether you're in a trade
Trend Filtering: Optional confirmation prevents counter-trend disasters
Multi-Timeframe Sync: Align lower timeframe entries with higher timeframe bias
Market State Adaptation: Behavior changes for trending vs. ranging automatically
🎯 Your Edge in Every Market Condition
Trending Markets: Ride momentum with re-entry signals and peak profit alerts
Range-Bound Markets: Trade structure breaks and mean reversion setups
Volatile Markets: Adjust sensitivity for faster/slower response
Quiet Markets: Filter out noise and wait for quality setups
Session Transitions: Catch volume influxes during market overlaps
🔐 Invite-Only For a Reason
Limited access ensures:
A committed community of professional-minded traders
Preserved signal quality through controlled distribution
Dedicated support for serious users
Ongoing development driven by active trader feedback
and ity bity of profit for me
The Bottom Lines
Core Of My Desire transforms your charts from confusing price movement into organized, actionable intelligence. It doesn't predict the future—nothing can. Instead, it gives you the analytical framework professionals use to identify high-probability opportunities, manage risk systematically, and execute with confidence.
This is the last indicator you'll need because it's the first one that actually treats trading as what it is: a skill requiring multiple perspectives, disciplined execution, and continuous market adaptation.
Ready to trade with institutional-grade analysis?
Core Of My Desire isn’t just an indicator.
It’s a complete trading framework built around context, confirmation, and confluence.
If you’re done gambling and ready to trade with structure, this exists for you.
SMT+ Volume Profile ProTesting SMT+ Volume Profile Pro Script.
It uses Volume profile at session level and SMT along with order flow
Session Liquidity Reversion Strategy (Asia Range False Breakout)Overview
This strategy is based on a session-driven liquidity hypothesis rather than a simple indicator combination.
During the Asian trading session, many markets enter a low-liquidity equilibrium, forming a relatively narrow price range. When higher-volume participants enter during the London and New York sessions, price often performs false expansions beyond this Asian range before reverting back toward fair value.
This script systematically identifies and trades those failed session expansions.
Core Concept
The strategy operates in three distinct phases:
Asia Session Range Formation
The high and low of the Asian session are recorded.
This range represents a temporary balance area formed under reduced participation.
Range Locking
Once the Asian session ends, the range is frozen.
No repainting or forward-looking calculations are used.
False Breakout Detection & Reversion
During the London/New York session, price must break beyond the Asia range and fail to hold.
A momentum filter (RSI) confirms rejection strength.
Trades are entered only after price closes back inside the range, targeting reversion rather than continuation.
This approach avoids chasing breakouts and instead focuses on liquidity traps and failed expansions.
Risk Management & Assumptions
Risk parameters are intentionally conservative and realistic:
Position sizing uses percentage of equity
Default risk per trade is approximately 2%
Stop losses are ATR-based, adapting to volatility
Risk-to-reward is fixed and configurable
Realistic commission and slippage are included
One trade per session is allowed to avoid over-exposure
No martingale, grid, or averaging logic is used.
Usage Notes
Recommended timeframes: 5m – 30m
Designed for: Forex, Indices, Crypto
Performance will vary by instrument and session volatility
All parameters are configurable for research and optimization
This strategy is intended for educational and research purposes, demonstrating how session-based liquidity behavior can be tested systematically using Pine Script.
Quarterly Cycles [Pro+] | SoMiLQuarterly Cycles | SoMiL
📜 About This Script
All credits go to @cdikici71 for the original Open Source Quarterly Theory Script.
This is a simplified, toned-down version modified for my personal trading needs and shared by request.
🔄 What I Modified
Quarterly Cycles Display
QT cycles is just shown as simple colored boxes - easier to see at a glance
Higher timeframe cycles display as borders only for cleaner visuals
Removed complex elements I didn't use in my trading
Added Tetrad Group
Included Tetrad (4-asset) comparison
Kept original Triad and Dyad groups
Added master switch to control all groups simultaneously
Improved HTF Display
HTF overlay candles show timing labels above or below (instead of AMDX in middle)
Cleaner, less cluttered appearance
🎯 Key Features
Quarterly Cycles
Shows market cycles (Monthly, Weekly, Daily, 90-min, Micro) as colored boxes
Each quarter (Q1-Q4) has distinct colors
Higher timeframes show as borders for easy identification
Comprehensive Information Table (NEW)
Cycle Status Table showing current phase for all timeframes
Displays current quarter (Q1-Q4) for each cycle
Optional phase descriptions (Accumulation, Manipulation, Distribution, Cont/Reversal)
Customizable positioning: Top/Bottom/Middle Left/Right
Color-coded quarters with adjustable table size
SSMT Signals
Shows potential market manipulation zones
Compare 2, 3, or 4 assets at once (Dyad/Triad/Tetrad
Both normal and hidden signals available
📝 Important Notes
I removed features I don't use and fixed issues that affected my trading. This version is streamlined for practical use rather than having every possible option.
I'm calling it "Pro+" because It sounds fancier Currently this has everything I need - which, honestly, isn't that much. The "Pro+" is aspirational, like calling your homemade cookies "artisanal." One day I might add something impressive (no promises). The "+" means "plus I actually use this to trade.
⚠️ DISCLAIMER
This script is shared AS-IS for educational purposes only. I'm not a financial advisor and this isn't trading advice. The modifications were made for my personal trading style and may not suit everyone. Use at your own risk, test thoroughly, and never trade based solely on any indicator.
Way Trades Reversal IndicatorMy personal reversal indicator. Never use without confluences. Use as confluence to your strategy and you'll get A+ signals.
AngleAura UTAngleAura UT is an advanced trading indicator built on top of the classic UT Bot concept, enhanced with modern risk‑management logic, next‑candle execution, and a clean visual interface.
The script uses a modified algorithm based on:
- ATR‑adjusted trailing levels
- EMA crossover logic
- Dynamic trend switching
This helps identify trend reversals with minimal noise.
Position Size Calculator [Malibu]# Position Size Calculator
## 📊 Overview
**Position Size Calculator ** is the ultimate risk management tool designed for **prop firm traders**, **forex traders**, and anyone who takes position sizing seriously.
Stop guessing your lot size. Calculate the **exact position size** based on your account balance, risk percentage, and stop loss distance — all in real-time, directly on your chart.
---
## ✨ Key Features
### 🎯 Precise Lot Calculation
- Calculates optimal lot/position size based on your risk parameters
- Supports **floor rounding** to never exceed your intended risk
- Compatible with EarnForex & MyFxBook calculation standards
### 🔍 Auto-Detect Instrument Type
Automatically recognizes and configures settings for:
- **Forex** pairs (majors, minors, crosses, JPY pairs)
- **Gold (XAUUSD)** - 100 oz contract
- **Silver (XAGUSD)** - 5000 oz contract
- **Indices** (NQ, ES, YM, DAX, US30, US100)
- **Crypto** (BTC, ETH, SOL, XRP, and 10+ altcoins)
### 💰 Prop Firm Ready
Built-in **daily loss limit** and **max drawdown** tracking:
- Set your daily loss limit (e.g., 3%)
- Set your maximum drawdown limit (e.g., 8%)
- Indicator warns you when approaching limits
- Prevents over-risking and account blow-ups
### 📈 Real-Time Information Panel
Displays on your chart:
- Entry, Stop Loss, Take Profit levels
- **Calculated Lot Size**
- Dollar risk amount
- Risk-to-Reward ratio
- Required margin
- Pip value per lot
- Remaining daily/total limits
---
## ⚙️ How To Use
1. **Set your account details** in the settings:
- Current Balance
- Daily Starting Balance
- Initial Capital (for max drawdown calculation)
2. **Configure your risk parameters**:
- Daily Loss Limit %
- Maximum Drawdown Limit %
- Risk per trade %
3. **Enter your trade setup**:
- Select LONG or SHORT
- Enter Stop Loss distance or price
- Set your R:R ratio (optional)
4. **Read your position size** from the label on chart
---
## 🎨 Display Options
- Adjustable label position (distance from current bar)
- Three label sizes: Small, Normal, Large
- Color-coded status:
- 🟢 **Green** = LONG trade ready
- 🔴 **Red** = SHORT trade ready / Error
- 🟠 **Orange** = Warning
- 🔵 **Blue** = Waiting for input
---
## 📋 Supported Instruments
| Type | Examples | Contract Size |
|------|----------|---------------|
| Forex | EURUSD, GBPUSD, USDJPY | 100,000 |
| Gold | XAUUSD | 100 oz |
| Silver | XAGUSD | 5,000 oz |
| Nasdaq | NQ, US100 | $20/point |
| S&P 500 | ES, US500 | $50/point |
| Dow Jones | YM, US30 | $5/point |
| DAX | GER40, DE40 | €25/point |
| Crypto | BTCUSD, ETHUSD | 1 coin |
---
## 💡 Why Use This Calculator?
❌ **Without position sizing:**
- Random lot sizes
- Inconsistent risk
- Emotional decisions
- Account blow-ups
✅ **With Malibu Calculator:**
- Precise lot calculation every time
- Consistent 1% (or custom) risk per trade
- Protected by daily/total loss limits
- Professional risk management
---
## ⚠️ Important Notes
- This indicator is for **educational purposes** and risk calculation only
- Does not place trades automatically
- Always verify calculations with your broker's specifications
- Contract sizes may vary between brokers — use "Custom" option if needed
- For non-USD quote currencies, enter the exchange rate manually
---
## 🔄 Updates & Support
This indicator is actively maintained. If you encounter any issues or have feature requests, please leave a comment below.
**If you find this tool helpful, please give it a ⭐ and share with fellow traders!**
---
## 📚 Related Keywords
Position size calculator, lot size calculator, risk management, prop firm trading, forex calculator, risk calculator, money management, FTMO, funded trader, position sizing, lot calculator, forex risk, trading calculator
---
**Trade smart. Manage risk. Stay funded. 🏆**
FVGs, iFVGs and BPRs This script draws out FVGs, iFVGs and BPRs with colored boxes.
Bull FVG: teal (easy on eyes, distinct from iFVG blue)
Bear FVG: red (classic danger color)
Bull iFVG: blue (very distinct)
Bear iFVG: amber/yellow
BPR: purple
Dead: gray
Trade ChecklistICT trading checklist. This checklist helps you mark out confluences so you can rate the trade you're about to take and be able to decide if its a good trade or you should skip it. Enjoy
ORB System Builder v1.5TradeX ORB System Builder v1.5 — Configurable Opening Range Breakout Framework
TradeX ORB System Builder is a configurable Opening Range Breakout (ORB) strategy framework designed to allow users to construct, test, and evaluate their own ORB-based rule sets.
This is not a single preset trading strategy.
Instead, it functions as a system-building tool that allows users to define how entries, exits, and risk logic are applied around an opening range using a structured and repeatable rule engine.
All logic is developed in-house and operates under a unified internal framework to ensure consistent behavior across instruments and timeframes.
Core Concept & Originality
The script is built around a modular ORB engine that separates:
• range construction
• breakout detection
• execution method
• risk logic
• trade limits
Rather than using a fixed ORB template, the framework allows users to study how different breakout definitions and risk models behave under the same structured logic.
This differs from standard ORB scripts by allowing users to modify execution behavior and risk management rules without altering the underlying range logic, enabling controlled experimentation inside one framework.
Entry Logic
Users can select between two internally coded breakout execution methods:
Entry on Cross of the Range
A trade is triggered when price crosses the defined opening range boundary intrabar.
Entry on Close Outside the Range
A trade is triggered only when a candle closes fully outside the defined range.
Both methods follow the same internal range calculation rules, allowing users to compare breakout behavior while preserving a consistent structure.
Range & Session Configuration
The framework provides precise control over how the opening range and trading session are defined:
• Range start time (hour, minute, second)
• Range end time (hour, minute, second)
• Trade start time (hour and minute)
• Trade end time (hour and minute)
• End-of-day cutoff time
• Time zone selection
An optional setting allows users to include or exclude U.S. market holidays from testing to prevent distorted datasets.
These controls allow users to define exactly which market session is being tested and ensure reproducible backtesting conditions.
Risk & Trade Management Logic
Trade behavior is governed by user-defined risk parameters, including:
• Risk allocation per trade
• Stop loss placement based on candle structure or as a percentage of the opening range
• Take profit targets defined using risk-to-reward multiples
• Optional break-even adjustment based on achieved risk-to-reward
• Maximum long trades per day
• Maximum short trades per day
• Maximum winning trades per day
• Maximum losing trades per day
This structure allows users to study how different risk models interact with the same breakout logic while enforcing controlled exposure and trade frequency.
Visualization & Diagnostic Tools
The script includes optional visual and diagnostic components to assist configuration and testing:
• Debug panel displaying active input settings
• Adjustable panel position and text size
• Customizable opening range line color, width, and style
Position fills can be enabled or disabled, with adjustable:
• Profit fill color
• Loss fill color
• Transparency
• Label size
These tools are intended to help users visually verify system behavior and ensure inputs are being applied as intended.
Strategy Properties & Backtesting
This script is published as a strategy for structured backtesting and evaluation.
Users should:
• Use realistic account sizes
• Apply realistic commission and slippage
• Select datasets that generate sufficient trade samples (ideally more than 100 trades)
• Avoid excessive risk per trade
Default settings are provided for demonstration and framework testing only.
Users are responsible for configuring position sizing, commissions, slippage, and session parameters appropriate to their market and timeframe.
Development Process
The ORB System Builder was initially prototyped using Python-based simulations to evaluate variations in:
• breakout execution logic
• timing rules
• session structure
• risk management behavior
The most consistent and stable rule sets were then implemented in Pine Script as a configurable framework rather than a single fixed strategy.
Intended Use
This script is designed for:
• strategy research
• ORB rule development
• controlled backtesting
• comparative model testing
It is not intended as a pre-optimized trading system.
Disclaimer
TradeX ORB System Builder is a proprietary TradeX Labs system-building framework.
It is provided for educational and research purposes only.
It does not guarantee profitability and is not financial advice.
Default configurations are illustrative only.
Users must adjust the system based on their own instruments, sessions, and risk tolerance.
This script enables users to define their own ORB-based logic and does not represent a pre-optimized or preset trading strategy.






















