"Smart Dashboard" for Institutional Price Targets.This script is designed to create a "Smart Dashboard" for Institutional Price Targets.
Think of it as a tool that asks, "What does Wall Street think this stock is worth?" and then draws specific "Buy Zones" on your chart based on those professional valuations.
Here is a breakdown of how it works in plain English for an investor:
1. The Core Concept: Wall Street Consensus
The indicator doesn't use standard technical analysis (like RSI or Moving Averages). Instead, it looks at Fundamental Data. It pulls the average Price Target set by institutional analysts (banks, hedge funds, research firms).
Example: If Goldman Sachs, Morgan Stanley, and JP Morgan all agree that NVDA is worth $150, this tool grabs that $150 number.
2. The "Data Engine" (The Smart Part)
The code includes a sophisticated "search engine" (Section 2 & 3 of the code) to ensure it finds the most accurate price target.
The Problem: Sometimes data feeds are empty, or they are in the wrong currency (e.g., a Canadian stock showing a price target in USD, which makes the chart look broken).
The Solution: This script follows a "Waterfall" priority list to find data:
Priority 1: It checks NASDAQ data first (often the most accurate for tech stocks like Apple or Tesla).
Priority 2: If the local currency data is missing, it forces a search for USD data (this is the "USD Fix" in the title).
Priority 3: It checks NYSE data.
Backup: If all else fails, it uses the generic TradingView average.
In short: It works very hard to make sure it doesn't give you a blank screen or a currency error.
3. The "Institutional Buy Zones" (The Strategy)
Once the tool finds the "Fair Value" (the Analyst Target), it calculates deep discount levels where an institutional investor might want to buy the dip.
It draws four colored lines below the current price:
Target (Dashed Line): This is the Fair Value. (The goal).
Level 1 (Green Line - 90%): This is 10% below fair value. A standard "buy the dip" zone.
Level 2 (Blue Line - 70%): This is 30% below fair value. This is considered a "Value Buy" or a "Deep Discount."
Level 3 (Orange Line - ~66.5%): A specific Fibonacci-style extension of the deep discount.
Level 4 (Red Line - 63%): The "Crash" buy zone. If price hits this, the stock is trading massively below what analysts think it is worth.
4. The Dashboard
On the screen (top right by default), there is a clean table that summarizes everything:
Target: Tells you the exact price analysts are aiming for.
Dist %: Tells you how far away the current price is from that target (e.g., "+20%" means the stock needs to rise 20% to hit the target).
Source: Tells you where it found the data (e.g., "Nasdaq FQ"), so you know if the data is trustworthy.
How an Investor Uses This:
Validation: You want to buy a stock, but you check this tool. If the price is above the dashed Target line, the tool is telling you the stock is effectively "overpriced" compared to Wall Street's expectations.
Entry Points: You are waiting to enter a position. You set limit orders at the Green (90%) or Blue (70%) lines, knowing these are math-based discount levels relative to the company's fundamental valuation.
Summary: It automates the research process of looking up analyst price targets and draws "Sale Price" lines on your chart automatically.
Phân tích Cơ bản
Burry Bubble DetectorThis indicator implements Michael Burry's bubble detection methodology, originally outlined in his famous 2020 analysis of GameStop (GME). Burry identified extreme bubble conditions when a stock's price significantly deviates from its fundamental book value, specifically when the Price-to-Book ratio exceeds extreme multiples.
The indicator creates valuation zones based on book value per share and identifies when a stock enters bubble territory according to Burry's criteria:
• Deep Value Zone: Price ≤ 0.5x Book Value (Burry's preferred buying area)
• Fair Value: Price between 0.5x and 1.5x Book Value
• Bubble Warning: Price exceeds user-defined multiple of book value (default 3x)
• Extreme Bubble: Price exceeds higher multiple of book value (default 5x)
Key features include:
Visual bubble zones with dynamic background coloring
Price-to-Book ratio monitoring
Speculation Score combining valuation extremes, volume spikes, and volatility
Entry signals when price enters the deep value zone
Comprehensive dashboard displaying current valuation zone and key metrics
The indicator requires user input of fundamental data (book value and shares outstanding) to establish the baseline valuation framework. Once configured, it continuously monitors whether the current price represents fair value or extreme speculation relative to the company's book value.
This methodology is particularly useful for identifying when stocks have detached from fundamental value and entered unsustainable bubble conditions, regardless of short-term price momentum. Additional Publishing Information:
When publishing, you may want to include the following notes in the description or as additional context:
"This indicator requires proper configuration of fundamental inputs (book value and shares outstanding) for accurate bubble detection. These values should be updated periodically to reflect the company's current financial position. The indicator is most effective when used with companies that have meaningful book value and where Price-to-Book serves as a relevant valuation metric.
The bubble detection framework is based on the principle that sustained prices significantly exceeding several multiples of book value represent speculative excess rather than fundamental value creation."
This description clearly explains the theoretical foundation of the indicator, its operational requirements, and the specific methodology it implements. The tags cover the key concepts and make the indicator discoverable for users specifically interested in value investing, bubble detection, and fundamental valuation analysis.
CoreEdgeTrader™ Quarterly EPSVisualized Quarterly EPS, including:
EPS: Reported EPS
Std EPS: Standardized EPS
Actual: real number
QoQ change
YoY change
By @CoreEdgeTrader
ETH Upgrades: Exact Price + DateThis indicator places markers on the chart that show you the exact date and price where each Ethereum upgrade occurred.
Minervini VCP Pattern -Indian ContextThis script implements Mark Minervini's Trend Template and VCP (Volatility Contraction Pattern) pattern, specifically adapted for Indian stock markets (NSE). It helps identify stocks that are in strong uptrends and ready to break out.
Core Concepts Explained
1. What is the Minervini Trend Template?
Mark Minervini's method identifies stocks in Stage 2 uptrends - the sweet spot where institutional money is accumulating and stocks show the strongest momentum. Think of it as finding stocks that are "leaders" rather than "laggards."
2. What is VCP (Volatility Contraction Pattern)?
A VCP occurs when:
Stock price consolidates (moves sideways) after an uptrend
Price swings get tighter and tighter (like a coiled spring)
Volume dries up (fewer people trading)
Then it breaks out with force.
You can customize the strategy settings without editing code.
Key Settings:
Minimum Price (₹50): Filters out penny stocks that are too volatile
Min Distance from 52W Low (30%): Stock should be at least 30% above its yearly low
Max Distance from 52W High (25%): Stock should be within 25% of its yearly high (showing strength)
Moving Average Periods: 10, 50, 150, 200 days (industry standard)
Minimum Volume (100,000 shares): Ensures the stock is liquid enough to trade
Indian Market Adaptation: The default values (₹50 minimum, volume thresholds) are adjusted for NSE stocks, which behave differently than US markets.
The script pulls weekly chart data even when you're viewing daily charts.
Why it matters: Weekly trends are more reliable than daily noise. Professional traders use weekly charts to confirm the bigger picture.
What are Moving Averages (MAs)?
Simple averages of closing prices over X days
They smooth out price action to show trends
Think of them as the "average cost" of buyers over different time periods
The 4 Key MAs:
10 MA (Fast): Very short-term trend
50 MA: Short to medium-term trend
150 MA: Medium to long-term trend
200 MA: Long-term trend (the "grandfather" of all MAs)
Why Weekly MAs?
The script also calculates 10 and 50 MAs on weekly data for additional confirmation of the bigger trend.
The script Finds the highest and lowest prices over the past 52 weeks (1 year).
Why it matters:
Stocks near 52-week highs are showing strength (institutions buying)
Stocks far from 52-week lows have "room to run" upward
This is a psychological level that influences trader behaviour.
What is Volume here ?
The number of shares traded each day
High volume = many traders interested (conviction)
Low volume = lack of interest (weakness or consolidation)
Volume in VCP:
During consolidation (sideways movement), volume should dry up - this shows sellers are exhausted and buyers are holding. When volume spikes on a breakout, it confirms the move.
NSE Context: Indian stocks often have different volume patterns than US stocks, so the 50-day average is used as a baseline.
Relative Strength vs Nifty:
Example:
If your stock is up 20% and Nifty is up 10%, your stock has strong RS
If your stock is up 5% and Nifty is up 15%, your stock has weak RS (avoid it!)
Why it matters: The best performing stocks almost always have strong relative strength before major moves.
The 13 Minervini Conditions:-
Condition 1: Price > 50/150/200 MA
Meaning: Current price must be above ALL three major moving averages.
Why: This confirms the stock is in a clear uptrend. If price is below these MAs, the stock is weak or in a downtrend.
Condition 2: MA 50 > 150 > 200
Meaning: The moving averages themselves must be in proper order.
Analogy: Think of this like layers in a cake - short-term on top, long-term at bottom. If they're tangled, the trend is unclear.
Condition 3: 200 MA Rising (1 Month)
Meaning: The 200 MA today must be higher than it was 20 days ago.
Why: This confirms the long-term trend is UP, not flat or down. The means "20 bars ago."
Condition 4: 50 MA Rising
Meaning: The 50 MA today must be higher than 5 days ago.
Why: Confirms short-term momentum is accelerating upward.
Condition 5: Within 25% of 52-Week High
Meaning: Current price should be within 25% of its 1-year high.
Example:
52-week high = ₹1000
Current price must be above ₹750 (within 25%)
Why: Strong stocks stay near their highs. Weak stocks fall far from highs.
Condition 6: 30%+ Above 52-Week Low (OPTIONAL)
Meaning: Stock should be at least 30% above its yearly low.
Note: The script marks this as "SECONDARY - Optional" because the other conditions are more important. However, it's still a good confirmation.
Condition 7: Price > 10 MA
Meaning: Very short-term strength - price above the 10-day moving average.
Why: Ensures the stock hasn't just rolled over in the immediate term.
Condition 8: Price >= ₹50
Meaning: Filters out stocks below ₹50.
Why: In Indian markets, stocks below ₹50 tend to be penny stocks with poor liquidity and higher manipulation risk.
Condition 9: Weekly Uptrend
Meaning: On the weekly chart, price must be above both weekly MAs, and they must be properly aligned.
Why: Confirms the bigger picture trend, not just daily fluctuations.
Condition 10: 150 MA Rising
Meaning: The 150 MA is trending upward over the past 10 days.
Why: Another confirmation of medium-term trend health.
Condition 11: Sufficient Volume
Meaning: Average volume must exceed 100,000 shares (or your custom setting).
Why: Ensures you can actually buy/sell the stock without moving the price too much (liquidity).
Condition 12: RS vs Nifty Strong
Meaning: The stock's relative strength vs Nifty must be improving.
Why: You want stocks that are outperforming the market, not underperforming.
Condition 13: Nifty in Uptrend
Meaning: The Nifty 50 index itself must be above its 50 MA.
Why: "A rising tide lifts all boats." It's easier to make money in individual stocks when the overall market is bullish.
VCP Requirements:
Volatility Contracting: Price swings getting tighter (coiling spring)
Volume Drying Up: Fewer shares trading + trending lower
The Setup: When volatility contracts and volume dries up WHILE all 13 trend conditions are met, you have a VCP setup ready to explode.
What You See on Chart:
Colored Lines: 10 MA (green), 50 MA (blue), 150 MA (orange), 200 MA (red)
Blue Background: Trend template conditions met (watch zone)
Green Background: Full VCP setup detected (buy zone)
↟ Symbol Below Price: New VCP buy signal just triggered
Information Table:
What it does: Creates a checklist table on your chart showing the status of all conditions.
Table Structure:
Column 1: Condition name
Column 2: Status (✓ green = met, ✗ red = not met)
Final Row: Shows "BUY" (green) or "WAIT" (red) based on full VCP setup status.
Dos:
Example:
Account size: ₹5,00,000
Risk per trade: 1% = ₹5,000
Entry: ₹1000
Stop loss: ₹920 (8% below)
Distance to stop: ₹80
Shares to buy: ₹5,000 / ₹80 = 62 shares
Exit Strategy:
Sell 1/3 at +20% profit
Sell another 1/3 at +40% profit
Let the final 1/3 run with a trailing stop
Always exit if price closes below 10 MA on heavy volume
What This Script Does NOT Do:
Guarantee profits - No strategy works 100% of the time
Account for news events - Earnings, regulatory changes, etc.
Consider fundamentals - Company financials, debt, management quality
Adapt to market crashes - Works best in bull markets
Best Market Conditions:
✅ Nifty in uptrend (above 50 MA)
✅ Market breadth positive (more stocks advancing)
✅ Sector rotation happening
❌ Avoid in bear markets or high volatility periods
References:
Trade Like a Stock Market Wizard by Mark Minervini
Think & Trade Like a Champion by Mark Minervini
Chart attached: AU Small Finance Bank as on EoD dated 28/11/25
This script is a powerful tool for educational purpose only, remember: It's a tool, not a crystal ball. Use it to find high-probability setups, then apply proper risk management and patience. Good luck!
Market Pulse 5X — مؤشر نبض السوق الخماسي📘 Market Pulse 5X — Advanced Multi-Factor Market Engine
A unified momentum, volume, volatility, structure, and candle-pressure model.
Market Pulse 5X is a next-generation multi-factor indicator that analyzes the market from five independent dimensions and merges them into a single, normalized score between -100 and +100.
Instead of relying on a single indicator, Market Pulse 5X gives you a full diagnostic reading of market health in one place — momentum strength, volume confirmation, volatility state, trend structure, and real candle pressure.
🔥 What Does Market Pulse 5X Do?
It answers one question:
“Who is in control right now — buyers or sellers — and how strong is that control?”
It analyzes the market using:
Momentum Engine (RSI, dual ROC, acceleration)
Volume Intelligence (MFI, OBV, Volume ROC, A/D)
Volatility Map (ATR %, Bollinger width, deviations)
Market Structure Score (HH/LL logic, MA-distance)
Candle Pressure Model (wicks, bodies, close strength)
And it combines all five into one clear line with color dynamics and histogram confirmation.
🚀 Key Features
🔹 1. Momentum Engine
A weighted blend of:
Normalized RSI
Short- & long-term ROC
Market acceleration
Designed to detect real directional strength.
🔹 2. Volume Intelligence
Confirms whether the move is supported by real liquidity:
MFI
OBV (smoothed & normalized)
Volume ROC
Accumulation/Distribution
No more guessing if a breakout is “fake volume” or real demand.
🔹 3. Volatility Map
Tracks volatility shifts using:
ATR percentage
Bollinger Band Width
Price deviation inside the band
Helps you anticipate breakout conditions before they happen.
🔹 4. Market Structure Score
Identifies the true trend direction by:
Detecting HH/LL shifts
Measuring distance from 20/50/200 MAs
Gives clarity on trend strength — not just price fluctuation.
🔹 5. Candle Pressure Model
Reads pure candle behavior:
Bullish vs bearish candle ratio
Wick dominance (buying/selling pressure)
Close-position strength
Accurate sentiment reading candle-by-candle.
📊 How to Read the Indicator
Above +30 → Beginning of bullish control
Above +70 → Overbought zone (potential reversal)
Below -30 → Beginning of bearish control
Below -70 → Oversold zone (bottom-formation area)
Crossing 0 → Trend-shift confirmation
The indicator’s color gradient makes momentum shifts instantly clear.
🛎️ Built-In Alerts
Strong Buy Signal
Strong Sell Signal
Zero-line bullish cross
Zero-line bearish cross
Overbought zone
Oversold zone
Everything is ready to activate with one click.
🌟 Why Traders Love Market Pulse 5X
✓ Five indicators combined into one
✓ Cleaner charts, stronger signals
✓ Works for scalping, swing trading, and trend following
✓ Removes noise and delivers a direct reading of market health
✓ Not a “signal generator” — but a reliable decision-support tool
⚡ Best Use-Case Strategy
Watch for movement from below -30 → above -30
Wait for the zero-line breakout for confirmation
Entries are strongest when the previous move came from the oversold/overbought zones
Use +70/-70 zones for trend exhaustion and reversal anticipation
Simple. Consistent. Professional-grade.
Market Pulse 5X
A complete market heartbeat. One line. Zero confusion.
📘 مؤشر نبض السوق الخماسي – Market Pulse 5X
مؤشر متقدم يجمع ٥ عوامل تحليل قوية في خط واحد:
الزخم – السيولة – التقلبات – اتجاه السوق – ضغط الشموع.
بدل ما تتابع ٢٠ مؤشر… هذا يعطيك قراءة نهائية واضحة من –100 إلى +100.
🔥 وش يسوي المؤشر؟
يعطيك جواب لسؤال واحد:
“مين مسيطر الآن؟ المشترين ولا البائعين؟ وبأي قوة؟”
ويحسبها من خلال:
الزخم (RSI + ROC + تسارع الحركة)
الحجم (MFI + OBV + تجميع/تصريف)
التقلبات (ATR + عرض البولنجر)
بنية الاتجاه (قمم وقيعان + MAs)
ضغط الشموع (فتائل + جسم + الإغلاق)
وفي النهاية تطلع لك قراءة واحدة بدون صداع.
🎯 طريقة القراءة
فوق +30 → بداية سيطرة مشترين
فوق +70 → ذروة شراء (احتمال انعكاس)
تحت -30 → بداية سيطرة بائعين
تحت -70 → ذروة بيع (بداية تكوين قاع)
خط الصفر → أهم خط لتغيير الاتجاه
🛎️ إشارات وتنبيهات جاهزة
إشارة شراء قوية
إشارة بيع قوية
تقاطع مع خط الصفر (دخول/خروج ترند)
دخول ذروة شراء
دخول ذروة بيع
الكل جاهز بضغطة زر.
🌟 ليه المؤشر قوي؟
✓ يجمع أهم بيانات السوق في قراءة واحدة
✓ يخفف التشويش
✓ يناسب سكالبينغ + سوينغ + استثمار
✓ يعطيك فكرة عن “صحة الحركة” مو مجرد إشارة دخول
✓ مفيد جداً لو ربطته مع مؤشرات الاتجاه اللي تستخدمها
💡 أفضل طريقة تستخدمه فيها
راقب −30 و +30
إذا طلع من المنطقة السلبية وقطع الصفر → دخول ممتاز
إذا وصل +70 وبدأ يضعف → حضّر نفسك للخروج
إذا لامس −70 وبدأ يقوى → بداية ارتداد محترمة
Market Pulse 5X
خط واحد يكشف لك كل شيء يصير داخل الشارت.
VaCs Pro Max by CS (Final Version - V9)VaCs Pro Max by CS (Final Version - V9) – TradingView Indicator Overview
Introduction:
The VaCs Pro Max indicator is a comprehensive, all-in-one technical analysis tool designed for traders who seek a clear, visual, and flexible overview of market trends, levels, sessions, and key signals. This advanced TradingView script integrates multiple technical indicators, market level trackers, session visualizations, and the innovative AlphaTrend module to provide actionable insights across any timeframe.
1. Technical Indicators:
This module combines essential trend-following and market momentum tools:
VWAP (Volume Weighted Average Price): Shows the average price weighted by volume, helping traders identify key support/resistance levels. Customizable color allows easy chart visibility.
EMAs (Exponential Moving Averages): Two EMAs (fast and long) track short-term and long-term price trends. Traders can adjust lengths and colors for personalized analysis.
Parabolic SAR: Highlights potential trend reversals with dots above/below candles. Step and maximum settings allow fine-tuning for sensitivity.
S2F Bands (Stock-to-Flow): A dynamic band system representing mid, upper, and lower levels derived from EMA. Useful for identifying overbought/oversold zones.
Logarithmic Growth Channel (LGC): Provides logarithmic regression channels, highlighting long-term price structure and growth trends. Adjustable length and band colors.
Linear Regressions: Two regression lines (short and long) detect trend directions and deviations over customizable periods.
Liquidity Zones: Highlights recent highs/lows over a defined lookback period, showing potential support/resistance clusters.
SMC Markers (Swing Market Context): Marks pivot highs and lows using visual labels, helping identify swing points and trend continuation patterns.
2. Market Levels:
Track weekly and Monday high/low levels for precise intraday and swing trading decisions:
Weekly Levels: Highlight the previous week’s high and low for reference.
Monday Levels: Focus on the day’s opening range, particularly useful for weekly breakout strategies.
3. Session Boxes (UTC):
Visual boxes mark major trading sessions (London, New York) in UTC time:
London Session Box: Highlights market activity between 08:00–16:30 UTC.
New York Session Box: Highlights market activity between 13:30–20:00 UTC.
Boxes automatically adjust to session highs and lows for clear intraday structure visualization.
4. Vertical Session Lines (Turkey Time – UTC+3):
These vertical lines provide an easy-to-read visualization of key market opens and closes:
US (NYSE), EU (LSE), JP (TSE), CN (SSE) lines: Color-coded and labeled, showing market opening and closing times in Turkish local time.
Ideal for identifying session overlaps and liquidity spikes.
5. AlphaTrend Module:
The AlphaTrend module is a dynamic trend-following system offering both visual guidance and trade signals:
Trend Calculation: Uses ATR and RSI/MFI logic to determine dynamic trend levels.
Signals: Generates BUY and SELL markers based on trend crossovers.
Customizable Settings: Multiplier, period, source input, and volume data modes allow tailored sensitivity.
Visuals: Filled areas between main and lag lines highlight trend direction, making it easy to interpret market bias at a glance.
Alerts: Includes multiple alert conditions such as potential and confirmed BUY/SELL, and price crossovers, suitable for automated notifications.
Usage & Benefits:
All modules have on/off toggles in the input panel, allowing users to customize the chart view without losing performance.
Color-coded visuals, session boxes, and trend channels improve readability, especially during high volatility.
Suitable for day trading, swing trading, and long-term analysis due to multi-timeframe adaptability.
The combination of trend indicators, liquidity zones, and session analysis provides a holistic view of market structure.
Alerts enable traders to automate monitoring without constantly staring at the chart.
Conclusion:
VaCs Pro Max by CS (V9) is designed for both professional and semi-professional traders who want an all-inclusive, visually intuitive, and highly configurable TradingView indicator. It merges classical technical indicators with modern trend and session analysis tools, making it an indispensable tool for informed trading decisions.
NQBA This indicator is designed for educational purposes only and aims to support traders in analyzing price action using a combination of advanced technical tools.
The script provides:
Overbought and oversold zones derived from deviation factors and momentum filters.
Dynamic levels based on several adaptive moving averages (Adaptive EMA, Normal EMA, and Trend EMA).
Enhanced trend lines calculated using ATR-based channel formulas with adjustable volatility filters.
Visual signals intended to highlight trend direction, momentum shifts, and potential reversal areas.
Dynamic support and resistance channels that adapt to market volatility.
This indicator does not guarantee performance, profitability, or specific trading outcomes.
It should not be considered financial or investment advice.
Results may vary depending on market conditions and user inputs, and it is recommended to combine this indicator with additional analysis tools before taking any trading decision.هذا المؤشر مصمم لأغراض تعليمية فقط، ويهدف إلى مساعدة المتداول في تحليل حركة السعر باستخدام مزيج من الأدوات الفنية المتقدمة.
يقوم المؤشر بعرض:
مناطق التشبّع الشرائي والبيعي بناءً على معاملات الانحراف ومؤشرات الزخم.
مستويات ديناميكية تعتمد على متوسطات متحركة تكيفية (Adaptive EMA – Normal EMA – Trend EMA).
خطوط اتجاه محسّنة تعتمد على قيم النطاق اللحظي (ATR) مع استخدام خوارزميات لضبط حجم القناة.
إشارات مرئية تساعد على متابعة الاتجاه العام والزخم وتحديد مناطق التحول المحتملة.
قنوات دعم ومقاومة تعتمد على خطوط متغيرة حسب تذبذب السوق.
لا يعتمد هذا المؤشر على معادلات تعطي نتائج مؤكدة، ولا يمثل نصيحة استثمارية أو مالية.
قد تختلف نتائج الأداء من مستخدم لآخر ويجب استخدامه مع أدوات واستراتيجيات تحليل إضافية قبل اتخاذ أي قرار تداول.
GEX Crypto LevelsGEX Crypto Levels - Professional Options Flow Visualization
This indicator displays real-time Gamma Exposure (GEX) levels and key options metrics for major cryptocurrencies directly on your TradingView charts.
What This Indicator Shows:
Call Wall: The strongest resistance level where call option gamma is concentrated (red solid line)
Put Wall: The strongest support level where put option gamma is concentrated (teal solid line)
HVL (High Volume Level): The price level with highest options trading activity (orange solid line)
GEX Strike Levels: Additional significant gamma exposure levels displayed as dashed red lines
Supported Cryptocurrencies:
The indicator automatically detects your chart symbol and displays the corresponding levels for:
BINANCE:BTCUSDT (Bitcoin)
BINANCE:ETHUSDT (Ethereum)
BINANCE:SOLUSDT (Solana)
BINANCE:XRPUSDT (Ripple)
BINANCE:BNBUSDT (Binance Coin)
BINANCE:DOGEUSDT (Dogecoin)
A fallback input is available for other symbols.
How It Works:
This indicator requires data from an external GEX data provider. To use it:
Visit our GEX provider's dashboard website (see the Invite-Only description)
Locate the "TV Export" or "TradingView Export" button for your desired cryptocurrency
Copy the export string to your clipboard
Paste it into the corresponding input field in the indicator settings
The indicator automatically parses and visualizes all levels on your chart
The data format is standardized and contains Call Wall, Put Wall, HVL, and strike-level information in a single copy-paste string.
Customization Options:
Adjustable line widths for GEX levels
Customizable label positioning (offset from current price action)
Separate offset controls for wall labels and GEX strike labels
Trading Application:
Gamma exposure levels often act as magnetic price zones where:
Call walls typically represent resistance where price may stall or reverse
Put walls typically represent support where price may find buyers
HVL shows where the market has the most positional interest
Multiple GEX strikes indicate areas of potential volatility compression or expansion
Important Notes:
This indicator requires external data input and does not fetch data automatically
Data must be updated manually by copying new export strings from your provider's website
The indicator is designed for overlay mode on price charts
Visual Design:
Clean styling with color-coded levels
Right-aligned labels that stay visible as price action develops
Dashed lines for GEX strikes to differentiate from wall levels
Extended lines that project across the entire chart
This tool is ideal for options-aware traders who want to incorporate institutional gamma positioning into their cryptocurrency trading strategy.
Access Information:
This is an invite-only indicator. Access is restricted and granted selectively. If you are interested in using this indicator please see the Invite-Only description.
2-Year Real RateThe 2-year real rate is the inflation-adjusted yield on a 2-year U.S. Treasury—essentially the market’s expectation for short-term “true” interest rates after subtracting expected inflation (often approximated as nominal 2Y yield – breakeven inflation).
It matters because it reflects the actual cost of capital and is one of the cleanest gauges of the Fed’s effective stance: rising real rates mean tightening financial conditions, falling real rates mean loosening. In trading, the 2Y real rate is a powerful macro risk-on/risk-off indicator—equities, long-duration tech, crypto, and EM FX generally weaken when real rates rise, while USD and front-end rate-sensitive trades tend to strengthen. Watching inflections in the 2Y real rate helps you time shifts in liquidity, gauge how aggressively the market is pricing Fed moves, and position for cross-asset trends driven by changes in real funding conditions.
Gold Master: Swing + Daily Scalp (Fixed & Working)How to use it correctly
Daily chart → Focus only on big green/red triangles (Swing trades)
5m / 15m / 1H chart → Focus on small circles (Scalp trades)
You can turn each system on/off independently in the settings
Works perfectly on XAUUSD, GLD, GC futures, and even DXY (inverse signals).
Titan EMA Liquidity [Stansbooth]
🔥 Precision EMA + FVG Liquidity Sweep System
Advanced Buy/Sell Signal Engine for High-Probability Trade Entries
Unlock a new level of precision with this all-in-one market structure indicator built for traders who demand accuracy, clarity, and confidence.
This tool combines EMA trend filtration , Fair Value Gap (FVG) detection , and liquidity sweep analysis to deliver powerful buy and sell signals that align with institutional price behavior.
✅ Key Features
Dynamic EMA Trend Filter:
Identifies true trend direction and filters out low-quality trades. Signals only trigger when momentum aligns with higher-timeframe directional bias.
Smart FVG Detection:
Automatically highlights bullish and bearish Fair Value Gaps, helping you spot premium/discount zones where institutional traders seek entries.
Liquidity Sweep Identification:
Detects equal highs/lows, stop hunts, and engineered liquidity grabs—then confirms reversals when price sweeps liquidity and returns inside structure.
High-Accuracy Signal Engine:
Buy/Sell alerts trigger only when three layers agree:
1. EMA trend alignment
2. FVG confirmation
3. Liquidity sweep completion
This results in cleaner signals , fewer false entries, and strong trend continuation setups.
Optimized for All Market Conditions:
Works for scalping, day trading, and swing trading across Forex, Crypto, Indices, and Stocks.
What This Indicator Helps You Achieve
Capture smart-money style entries with reduced drawdown
Enter after liquidity grabs instead of before them
Avoid chop with EMA-filtered market direction
Spot precision premium/discount zones using automatic FVG mapping
Obtain high-confidence Buy/Sell signals based on institutional concept
Why Traders Love It
This system isn’t just another signal generator—it’s a market-structure aware model that reads the chart the same way professional traders do.
Every signal is based on probability stacking , giving you the clarity and confidence to take the best setups while ignoring noise.
EMA and Swings with volatility-Multi-TF Trend Alerts by cryptdozTraces the EMA 200 and clearly marks all swings highs and lows for easy references. Includes a volatity index (like ADX) and marks the trend on multi time frame (from 1H to 5M) - ideal for scalping to intraday and day trading.
MACD Divergence Pro | Zero-Lag • No-Repaint中文介绍
MACD 背离 · 快速实时 / 不重绘 · 基于直方图(CN)
多数“MACD 背离”指标要么重绘严重(回测很漂亮、实盘不靠谱),要么触发很滞后(等几根 K 线后才给线/给提醒)。
这个脚本是我在十几版迭代中打磨出的方案(还是跟我的印度导师):在保持收盘级别不重绘的同时,尽可能把信号“提前到条内”,并且把“提前”和“稳健”两种需求拆开、让你按场景选择。
这款脚本为什么更好?
双模式,实盘&回测都可靠
确认模式(不重绘):只在枢轴成立时(上一根确认为顶/底)画线并提醒,收盘后不会改变,适合回测与稳健交易。
预判预览(零延迟,可选):条内一旦出现“价格创更高/更低而柱值更低/更高”的背离形态,就即时画“临时预判线”并提醒;如果形态被否定,会在本根内自动撤回。该模式给你“更早的入场观察”,但可能被取消。
基于 MACD 直方图:直接比较“柱值高/低”和“价格高/低”,不靠模糊的平滑线,背离定义清晰、可见性强。
多重背离/三背离:支持向前连接多段峰/谷,不是只找最近一段,把分层背离也抓出来。
分段规则可控
同侧最小间隔(柱):避免“同一段内频繁连线”。
可选“跨色分段(红→绿→红 / 绿→红→绿)”:只在真正换势后才允许下一段,显著减少“同色内伪背离”。
即时提醒,严格对齐
预判提醒:只有当图表上真的画出了“临时预判线”时才触发,不会“响了但没线”。
确认提醒:当正式背离线落地的那一刻触发,用于“信号确认”。
视觉简洁:顶背离线=红色,底背离线=绿色;标签可开关,不挡柱不抢视线。
通用:适配任意周期、任意交易品种;参数默认即可用,也可按策略微调。
如何使用(建议)
做回测/稳健交易:仅开“确认提醒”,并把“即时模式(条内)”关闭,得到严格不重绘的标注与提醒。
做超短线/埋伏:打开即时模式 + 零延迟预览,启用预判提醒;当预判线出现就会立马提醒(未确认时可能被撤回)。
如想减少“跨段过远”的连线,可调大同侧最小间隔或打开跨色分段。
需要三背离/多背离,可把“最多向前连接几段”设为 3 或更高。
提示:预判是“更早但可能被否定”,确认是“稳健且不重绘”。两者结合,既看得早,也落得稳。
English Description
MACD Divergence • Fast Live / No-Repaint • On Histogram
Most “MACD divergence” indicators either repaint heavily (great in hindsight, unreliable in live trading) or lag badly (you get lines/alerts several bars late).
This script has gone through 10+ iterations to strike the right balance: deliver earlier signals in real-time while keeping a truly no-repaint confirmation path. You decide when you need early preview or strict confirmation.
What makes it different?
Two operating modes—choose per scenario
Confirmation mode (No-Repaint): Lines/alerts are printed only when the pivot is confirmed (previous bar), and they never change after close. Perfect for backtesting and conservative trading.
Zero-Lag Preview (optional): As soon as an in-bar divergence forms on the histogram (price makes a higher high/lower low while the bar value fails), a temporary preview line is drawn immediately and an alert is fired; if invalidated before the bar closes, it’s removed. Earlier visibility with the right caveat.
Histogram-based logic: We compare bar heights against price highs/lows—clear definition and strong visual readability.
Multi-link divergences (incl. triple): Not limited to the nearest swing—you can extend lines across multiple prior pivots to capture stacked divergences.
Controllable segmentation
Minimum bars between same-side pivots to avoid noisy over-linking.
Optional cross-color segmentation (red→green→red / green→red→green) to reduce false divergences within a same-color run.
Alerts that match what you see
Preview alert fires only when a preview line is actually drawn—no more alerts without lines.
Confirmation alert fires when the final line is committed.
Clean visuals: Bearish lines = red, Bullish lines = green; labels are optional to keep the histogram unobstructed.
Works everywhere: Any symbol, any timeframe. Defaults are sensible; parameters can be tuned to your workflow.
Suggested workflow
Backtest / conservative execution: Use Confirmation alerts only, turn Live (in-bar) evaluation off to ensure strict no-repaint behavior.
Scalping / early entries: Turn Live mode + Zero-Lag Preview on and enable Preview alerts—you’ll be notified the moment a preview line appears (it may retract before close).
Increase Min same-side spacing or enable Cross-color segmentation to limit stretched links.
Raise Max links to capture double/triple divergences.
TL;DR: Preview = earlier but retractable. Confirmation = slower but rock-solid. Combine both to see early and act with confidence.
RSI Price Action Hunter [AlgoSystem]A combined indicator designed to identify precise trend reversal points. The algorithm filters RSI overbought and oversold signals by confirming them with powerful candlestick patterns (Bullish and Bearish Engulfing).
How it works: The indicator solves the main issue with RSI—false counter-trend signals. An entry signal is generated only when two conditions are met simultaneously:
RSI hits extreme zones: The price is in the overbought (default >70) or oversold (<30) zone.
Candlestick Confirmation: An "Engulfing" pattern forms, indicating a genuine shift in market sentiment.
Key Features:
Buy/Sell Signals: Clear labels on the chart when conditions align.
Zone Visualization: Background highlighting (Green/Red) at the moment of the signal for better visibility.
Flexible Settings: Adjustable RSI period, Overbought/Oversold levels, and pattern filters.
Alerts: Built-in alert system for App or Email notifications.
Settings:
RSI Length: RSI indicator period (default is 7 for faster reaction).
Overbought/Oversold: Boundary levels (70/30).
Patterns: Enable/Disable Engulfing filter.
Exit Zone: Visual hint for the estimated exit zone (in %).
Usage Strategy: Use this tool for Swing Trading reversals or to find pullbacks within a global trend. It works best on timeframes from 15m to 4h.
BHUVANA Fib 50–61.8 • Turn Alerts when FIB directions change
Detects step-up / step-down on both Fib 50 & 61.8 (your “stairs” logic).
Triggers BUY/SELL on that slope change (optionally also requires price to be above/below the line).Spot volatility compression around the 50%–61.8% Fibonacci mid-band of the current swing, then trade the first expansion with clean, rules-based entries and auto SL references.
Swing mapping: Finds the active high/low over a user-defined lookback and computes Fib 50% and Fib 61.8%.
Squeeze detection: Measures the distance between 50% and 61.8%. If the band width is ≤ (ATR × multiplier), the zone is flagged as a Squeeze.
Breakout entries (on close):
Long when price crosses up through 50% while squeezed.
Short when price crosses down through 61.8% while squeezed.
Risk framework: Auto-plots stop lines from the signal bar:
Long SL = swing low; Short SL = swing high.
Visuals: Fib lines (50/61.8) + optional yellow zone highlight during squeeze.
Signals evaluate on bar close (no forward-looking data).
Works well on XAUUSD / US30 intraday (5–15m) during London/NY sessions.
Add your own alertcondition() lines if you want push alerts on Long/Short entries.
Dumb Money Flow - Retail Panic & FOMO# Dumb Money Flow (DMF) - Retail Panic & FOMO
## 🌊 Overview
**Dumb Money Flow (DMF)** is a powerful **contrarian indicator** designed to track the emotional state of the retail "herd." It identifies moments of extreme **Panic** (irrational selling) and **FOMO** (irrational buying) by analyzing on-chain data, volume anomalies, and price velocity.
In crypto markets, retail traders often buy the top (FOMO) and sell the bottom (Panic). This indicator helps you do the opposite: **Buy when the herd is fearful, and Sell when the herd is greedy.**
---
## 🧠 How It Works
The indicator combines multiple data points into a single **Sentiment Index** (0-100), normalized over a 90-day period to ensure it always uses the full range of the chart.
### 1. Panic Index (Bearish Sentiment)
Tracks signs of capitulation and fear. High values contribute to the **Panic Zone**.
* **Exchange Inflows:** Spikes in funds moving to exchanges (preparing to sell).
* **Volume Spikes:** High volume during price drops (panic selling).
* **Price Crash (ROC):** Rapid, emotional price drops over 3 days.
* **Volatility (ATR):** High market nervousness and instability.
### 2. FOMO Index (Bullish Sentiment)
Tracks signs of euphoria and greed. High values contribute to the **FOMO Zone**.
* **Exchange Outflows:** Funds moving to cold storage (HODLing/Greed).
* **Profitable Addresses:** When >90% of holders are in profit, tops often form.
* **Parabolic Rise:** Rapid, unsustainable price increases.
---
## 🎨 Visual Guide
The indicator uses a distinct color scheme to highlight extremes:
* **🟢 Dark Green Zone (> 80): Extreme FOMO**
* **Meaning:** The crowd is euphoric. Risk of a correction is high.
* **Action:** Consider taking profits or looking for short entries.
* **🔴 Dark Burgundy Zone (< 20): Extreme Panic**
* **Meaning:** The crowd is capitulating. Prices may be oversold.
* **Action:** Look for buying opportunities (catching the knife with confirmation).
* **🔵 Light Blue Line:**
* The smoothed moving average of the sentiment, helpful for seeing the trend direction.
---
## 🛠️ How to Use (Trading Strategies)
### 1. Contrarian Reversals (The Primary Strategy)
* **Buy Signal:** Wait for the line to drop deep into the **Burgundy Panic Zone (< 20)** and then start curling up. This indicates that the worst of the selling pressure is over.
* **Sell Signal:** Wait for the line to spike into the **Green FOMO Zone (> 80)** and then start curling down. This suggests buying exhaustion.
### 2. Divergences
* **Bullish Divergence:** Price makes a **Lower Low**, but the DMF Indicator makes a **Higher Low** (less panic on the second drop). This is a strong reversal signal.
* **Bearish Divergence:** Price makes a **Higher High**, but the DMF Indicator makes a **Lower High** (less FOMO/buying power on the second peak).
### 3. Trend Confirmation (Midline Cross)
* **Crossing 50 Up:** Sentiment is shifting from Fear to Greed (Bullish).
* **Crossing 50 Down:** Sentiment is shifting from Greed to Fear (Bearish).
---
## ⚙️ Settings
* **Data Source:** Defaults to `INTOTHEBLOCK` for on-chain data.
* **Crypto Asset:** Auto-detects BTC/ETH, but can be forced.
* **Normalization Period:** Default 90 days. Determines the "window" for defining what is considered "Extreme" relative to recent history.
* **Weights:** You can customize how much each factor (Volume, Inflows, Price) contributes to the index.
---
**Disclaimer:** This indicator is for educational purposes only. "Dumb Money" analysis is a probability tool, not a crystal ball. Always manage your risk.
**Indicator by:** @iCD_creator
**Version:** 1.0
**Pine Script™ Version:** 6
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## Updates & Support
For questions, suggestions, or bug reports, please comment below or message the author.
**Like this indicator? Leave a 👍 and share your feedback!**
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