Bitcoin ETF Cumulative Net InflowIndicator Description:
This indicator calculates and plots the cumulative net inflow (in billions of USD) for selected Bitcoin ETFs on the main price chart. It uses AUM data from TradingView to estimate daily net flows, adjusted for BTC price changes, and accumulates them over time. The line is overlaid on the price chart (e.g., BTCUSD) with a right scale for better visibility, helping to identify correlations between ETF inflows and Bitcoin price movements.
Key Features:
Supports selection of 10 major Bitcoin ETFs (IBIT, FBTC, ARKB, etc.) via inputs.
Cumulative inflow line (purple, linewidth=2) for trend analysis.
Data sourced from request.financial("AUM", "D") for accuracy.
Các Mô hình Harmonic
Harmonic Patterns Pro - Exact Ratios [abusuhil]═══════════════════════════════════════════════════════════════════
Harmonic Patterns Pro - Exact Ratios
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ENGLISH DESCRIPTION:
A professional harmonic pattern detector using precise Fibonacci ratios based on standard harmonic analysis reference tables.
KEY FEATURES:
• Exact Ratio System: Uses precise ratios from harmonic pattern reference tables
• Advanced Tolerance Control: Choose between 4 detection modes (All Exact, Exact+1, Exact+2, Exact+3 Flexible)
• Customizable Tolerance: Adjust exact (±3% default) and flexible (±8% default) tolerance levels
• 9 Harmonic Patterns: Gartley, Bat, Alternate Bat, Butterfly, Crab, Deep Crab, Shark, Cypher, AB=CD
• Smart ZigZag: Automatic pivot point detection
• PRZ Zones: Visual potential reversal zones
• Multiple Targets: TP1 (38.2%), TP2 (61.8%), TP3 (Point C)
• Auto Stop Loss: Calculated based on pattern structure
• Simplified Mode: Clean view with only essential signals
• Full Customization: Colors, opacity, sizes, styles
• Built-in Alerts: Notifications for pattern completion
WHAT MAKES IT DIFFERENT:
Unlike traditional harmonic indicators using approximate ratios, this indicator:
- Uses exact ratios from harmonic pattern reference tables
- Provides intelligent ratio tolerance control
- Allows mixing exact and flexible ratios
- Reduces false signals through advanced pattern matching
- Supports both conservative and aggressive trading approaches
HOW TO USE:
1. Select your preferred tolerance mode (Exact + 2 Flexible recommended for balanced detection)
2. Adjust tolerance percentages if needed
3. Enable/disable specific patterns based on your strategy
4. Customize visual settings
5. Set up alerts for automatic notifications
6. Use TP1, TP2, TP3 for profit-taking strategy
7. Place stop loss according to the SL indicator line
DISCLAIMER:
This indicator is provided for educational and informational purposes only. It should not be considered as financial advice or a recommendation to buy or sell any financial instrument. Trading involves substantial risk of loss. Always perform your own analysis, use proper risk management, and consult with a qualified financial advisor before making trading decisions. Past performance is not indicative of future results.
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الوصف بالعربية:
كاشف احترافي للأنماط التوافقية يستخدم نسب فيبوناتشي الدقيقة المبنية على جداول التحليل التوافقي المرجعية القياسية.
المميزات الرئيسية:
• نظام النسب الدقيقة: يستخدم نسباً دقيقة من جداول الأنماط التوافقية المرجعية
• التحكم المتقدم بالتسامح: اختر بين 4 أوضاع كشف (كل النسب دقيقة، دقيق+1، دقيق+2، دقيق+3 مرن)
• تسامح قابل للتخصيص: اضبط مستويات التسامح الدقيق (±3% افتراضي) والمرن (±8% افتراضي)
• 9 أنماط توافقية: جارتلي، خفاش، خفاش بديل، فراشة، سلطعون، سلطعون عميق، قرش، سايفر، AB=CD
• زجزاج ذكي: كشف تلقائي لنقاط الارتكاز
• مناطق PRZ: مناطق مرئية للانعكاسات المحتملة
• أهداف متعددة: TP1 (38.2%)، TP2 (61.8%)، TP3 (النقطة C)
• وقف خسارة تلقائي: يُحسب بناءً على هيكل النمط
• وضع مبسط: عرض نظيف بالإشارات الأساسية فقط
• تخصيص كامل: الألوان، الشفافية، الأحجام، الأنماط
• تنبيهات مدمجة: إشعارات لاكتمال الأنماط
ما الذي يميزه:
على عكس مؤشرات الأنماط التوافقية التقليدية التي تستخدم نسباً تقريبية، هذا المؤشر:
- يستخدم نسباً دقيقة من جداول الأنماط التوافقية المرجعية
- يوفر تحكماً ذكياً بتسامح النسب
- يسمح بمزج النسب الدقيقة والمرنة
- يقلل الإشارات الخاطئة من خلال المطابقة المتقدمة للأنماط
- يدعم أساليب التداول المحافظة والعدوانية
كيفية الاستخدام:
1. اختر وضع التسامح المفضل (دقيق + 2 مرن موصى به للكشف المتوازن)
2. اضبط نسب التسامح إذا لزم الأمر
3. فعّل/عطّل أنماط معينة بناءً على استراتيجيتك
4. خصص إعدادات العرض
5. اضبط التنبيهات للإشعارات التلقائية
6. استخدم TP1 وTP2 وTP3 لاستراتيجية جني الأرباح
7. ضع وقف الخسارة وفقاً لخط مؤشر SL
إخلاء المسؤولية:
يُقدم هذا المؤشر لأغراض تعليمية وإعلامية فقط. لا ينبغي اعتباره نصيحة مالية أو توصية لشراء أو بيع أي أداة مالية. ينطوي التداول على مخاطر كبيرة للخسارة. قم دائماً بإجراء التحليل الخاص بك، واستخدم إدارة مخاطر مناسبة، واستشر مستشاراً مالياً مؤهلاً قبل اتخاذ قرارات التداول. الأداء السابق ليس مؤشراً على النتائج المستقبلية.
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Gann Square of 9 LevelsGann Square of 9 Levels (Support & Resistance)2. Short Summary (Brief description shown in search results)Calculates and plots key Support/Resistance levels based on the W.D. Gann Square of 9 methodology, derived from a user-defined base price and angular spacing.3. Full Description (Detailed explanation)Gann Square of 9 Levels (Support & Resistance)This indicator applies the core mathematical principle of W.D. Gann's Square of 9 to derive potential future support and resistance levels from a single, user-specified base price.The Square of 9 identifies key price levels by utilizing the square root relationship between price and time/angle.
These levels often correspond to $45^\circ$, $90^\circ$, $180^\circ$, and $360^\circ$ turns on the mathematical square.Key Features:Customizable Base Price: Allows the user to select any significant high, low, or psychological level on the chart as the starting point for calculations.Adjustable Spacing:
The user can fine-tune the angular/degree difference between levels using the Spacing input. This allows testing different Gann harmonics (e.g., $0.125$ for $45^\circ$, $0.25$ for $90^\circ$).Clear Visuals: Levels are plotted as circles directly on the chart:Gray: The Initial Gann Level (Base Price).Green: Levels above the base (Potential Resistance).Red: Levels below the base (Potential Support).
Mathematical Logic:The indicator uses the following core formula:Find the Square Root of the Base Price:$$\text{Initial Sqrt} = \sqrt{\text{Initial Level}}$$Calculate New Levels:$$\text{New Level} = (\text{Initial Sqrt} \pm (n \times \text{Spacing}))^2$$Where:$\text{Initial Level}$ = User-defined Base Price.$\text{Spacing}$ = User-defined step (e.g., $0.125$ is the default, representing one $45^\circ$ step).$n$ = The multiple of the step ($1, 2, 3, ...$).
The code calculates the first three significant levels both above and below the base price.How to Use:Identify a Key Pivot: Find a major recent High or Low on the asset's chart.Set the Initial Level: Enter that High or Low price into the Initial Gann Level input.Analyze the Levels: The resulting Green and Red circles represent potential turning points for the market. Observe how price reacts to these lines.Note: As with all Gann-based analysis, this indicator is best used in conjunction with other technical tools (volume, trend lines, traditional support/resistance) for confirmation.
Chronos Reversal Labs🧬 Chronos Reversal Lab - Machine Learning Market Structure Analysis
OVERVIEW
Chronos Reversal Lab (CRL) is an advanced market structure analyzer that combines computational intelligence kernels with classical technical analysis to identify high-probability reversal opportunities. The system integrates Shannon Entropy analysis, Detrended Fluctuation Analysis (DFA), Kalman adaptive filtering, and harmonic pattern recognition into a unified confluence-based signal engine.
WHAT MAKES IT ORIGINAL
Unlike traditional reversal indicators that rely solely on oscillators or pattern recognition, CRL employs a multi-kernel machine learning approach that analyzes market behavior through information theory, statistical physics, and adaptive state-space estimation. The system combines these computational methods with geometric pattern analysis and market microstructure to create a comprehensive reversal detection framework.
HOW IT WORKS (Technical Methodology)
1. COMPUTATIONAL KERNELS
Shannon Entropy Analysis
Measures market uncertainty using information theory:
• Discretizes price returns into bins (user-configurable 5-20 bins)
• Calculates probability distribution entropy over lookback window
• Normalizes entropy to 0-1 scale (0 = perfectly predictable, 1 = random)
• Low entropy states (< 0.3 default) indicate algorithmic clarity phases
• When entropy drops, directional moves become statistically more probable
Detrended Fluctuation Analysis (DFA)
Statistical technique measuring long-range correlations:
• Analyzes price series across multiple box sizes (4 to user-set maximum)
• Calculates fluctuation scaling exponent (Alpha)
• Alpha > 0.5: Trend persistence (momentum regime)
• Alpha < 0.5: Mean reversion tendency (reversal regime)
• Alpha range 0.3-1.5 mapped to trading strategies
Kalman Adaptive Filter
State-space estimation for lag-free trend tracking:
• Maintains separate fast and slow Kalman filters
• Process noise and measurement noise are user-configurable
• Tracks price state with adaptive gain adjustments
• Calculates acceleration (second derivative) for momentum detection
• Provides cleaner trend signals than traditional moving averages
2. HARMONIC PATTERN DETECTION
Identifies geometric reversal patterns:
• Gartley: 0.618 AB/XA, 0.786 AD/XA retracement
• Bat: 0.382-0.5 AB/XA, 0.886 AD/XA retracement
• Butterfly: 0.786 AB/XA, 1.272-1.618 AD/XA extension
• Cypher: 0.382-0.618 AB/XA, 0.786 AD/XA retracement
Pattern Validation Process:
• Requires alternating swing structure (XABCD points)
• Fibonacci ratio tolerance: 0.02-0.20 (user-adjustable precision)
• Minimum 50% ratio accuracy score required
• PRZ (Potential Reversal Zone) calculated around D point
• Zone size: ATR-based with pattern-specific multipliers
• Active pattern tracking with 100-bar invalidation window
3. MARKET STRUCTURE ANALYSIS
Swing Point Detection:
• Pivot-based swing identification (3-21 bars configurable)
• Minimum swing size: ATR multiples (0.5-5.0x)
• Adaptive filtering: volatility regime adjustment (0.7-1.3x)
• Swing confirmation tracking with RSI and volume context
• Maintains structural history (up to 500 swings)
Break of Structure (BOS):
• Detects price crossing previous swing highs/lows
• Used for trend continuation vs reversal classification
• Optional requirement for signal validation
Support/Resistance Detection:
• Identifies horizontal levels from swing clusters
• Touch counting algorithm (price within ATR×0.3 tolerance)
• Weighted by recency and number of tests
• Dynamic updating as structure evolves
4. CONFLUENCE SCORING SYSTEM
Multi-factor analysis with regime-aware weighting:
Hierarchical Kernel Logic:
• Entropy gates advanced kernel activation
• Only when entropy < threshold do DFA and Kalman accelerate scoring
• Prevents false signals during chaotic (high entropy) conditions
Scoring Components:
ML Kernels (when entropy low):
• Low entropy + trend alignment: +3.0 points × trend weight
• DFA super-trend (α>1.5): +4.0 points × trend weight
• DFA persistence (α>0.65): +2.5 points × trend weight
• DFA mean-reversion (α<0.35): +2.0 points × mean-reversion weight
• Kalman acceleration: up to +3.0 points (scaled by magnitude)
Classical Technical Analysis:
• RSI oversold (<30) / overbought (>70): +1.5 points
• RSI divergence (bullish/bearish): +2.5 points
• High relative volume (>1.5x): +0-2.0 points (scaled)
• Volume impulse (>2.0x): +1.5 points
• VWAP extremes: +1.0 point
• Trend alignment (Kalman fast vs slow): +1.5 points
• MACD crossover/momentum: +1.0 point
Structural Factors:
• Near support (within 0.5 ATR): +0-2.0 points (inverse distance)
• Near resistance (within 0.5 ATR): +0-2.0 points (inverse distance)
• Harmonic PRZ zone: +3.0 to +6.0 points (pattern score dependent)
• Break of structure: +1.5 points
Regime Adjustments:
• Trend weight: 1.5× in trend regime, 0.5× in mean-reversion
• Mean-reversion weight: 1.5× in MR regime, 0.5× in trend
• Volatility multiplier: 0.7-1.3× based on ATR regime
• Theory mode multiplier: 0.8× (Conservative) to 1.2× (APEX)
Final Threshold:
Base threshold (default 3.5) adjusted by:
• Theory mode: -0.3 (APEX) to +0.8 (Conservative)
• Regime: +0.5 (high vol) to -0.3 (low vol or strong trend)
• Filter: +0.2 if regime filter enabled
5. SIGNAL GENERATION ARCHITECTURE
Five-stage validation process:
Stage 1 - ML Kernel Analysis:
• Entropy threshold check
• DFA regime classification
• Kalman acceleration confirmation
Stage 2 - Structural Confirmation:
• Market structure supports directional bias
• BOS alignment (if required)
• Swing point validation
Stage 3 - Trigger Validation:
• Engulfing candle (if required)
• HTF bias confirmation (if strict HTF enabled)
• Harmonic PRZ alignment (if confirmation enabled)
Stage 4 - Consistency Check:
• Anticipation depth: checks N bars back (1-13 configurable)
• Ensures Kalman acceleration direction persists
• Filters whipsaw conditions
Stage 5 - Structural Soundness (Critical Filter):
• Verifies adequate room before next major swing level
• Long signals: must have >0.25 ATR clearance to last swing high
• Short signals: must have >0.25 ATR clearance to last swing low
• Prevents trades directly into obvious structural barriers
Dynamic Risk Management:
• Stop-loss: Placed beyond last structural swing ± 2 ticks
• Take-profit 1: Risk × configurable R1 multiplier (default 1.5R)
• Take-profit 2: Risk × configurable R2 multiplier (default 3.0R)
• Confidence score: Calibrated 0-99% based on confluence + kernel boost
6. ADAPTIVE REGIME SYSTEM
Continuous market state monitoring:
Trend Regime:
• Kalman fast vs slow positioning
• Multi-timeframe alignment (optional HTF)
• Strength: ATR-normalized fast/slow spread
Volatility Regime:
• Current ATR vs 100-bar average
• Regime ratio: 0.7-1.3 typical range
• Affects swing size filtering and cooldown periods
Signal Cooldown:
• Base: User-set bars (1-300)
• High volatility (>1.5): cooldown × 1.5
• Low volatility (<0.5): cooldown × 0.7
• Post-BOS: minimum 20-bar cooldown enforced
FOUR OPERATIONAL MODES
CONSERVATIVE MODE:
• Threshold adjustment: +0.8
• Mode multiplier: 0.8×
• Strictest filtering for highest quality
• Recommended for: Beginners, large accounts, swing trading
• Expected signals: 3-5 per week (typical volatile instrument)
BALANCED MODE:
• Threshold adjustment: +0.3
• Mode multiplier: 1.0×
• Standard operational parameters
• Recommended for: General trading, learning phase
• Expected signals: 5-10 per week
APEX MODE:
• Threshold adjustment: -0.3
• Mode multiplier: 1.2×
• Maximum sensitivity, reduced cooldowns
• Recommended for: Scalping, high volatility, experienced traders
• Expected signals: 10-20 per week
INSTITUTIONAL MODE:
• Threshold adjustment: +0.5
• Mode multiplier: 1.1×
• Enhanced structural weighting, HTF emphasis
• Recommended for: Professional traders, swing positions
• Expected signals: 4-8 per week
VISUAL COMPONENTS
1. Fibonacci Retracement Levels
• Auto-calculated from most recent swing structure
• Standard levels: 0%, 23.6%, 38.2%, 50%, 61.8%, 78.6%, 100%, 127.2%, 161.8%, 200%, 261.8%
• Key levels emphasized (50%, 61.8%, 100%, 161.8%)
• Color gradient from bullish to bearish based on level
• Automatic cleanup when levels are crossed
• Label intensity control (None/Fib only/All)
2. Support and Resistance Lines
• Dynamic horizontal levels from swing clusters
• Width: 2px solid lines
• Colors: Green (support), Red (resistance)
• Labels show price and level type
• Touch-based validation (minimum 2 touches)
• Real-time updates and invalidation
3. Harmonic PRZ Boxes
• Displayed around pattern completion (D point)
• Pattern-specific colors (Gartley: purple, Bat: orange, etc.)
• Box height: ATR-based zone sizing
• Score-dependent transparency
• 100-bar active window before removal
4. Confluence Boxes
• Appear when confluence ≥ threshold
• Yellow/orange gradient based on score strength
• Height: High to low of bar
• Width: 1 bar on each side
• Real-time score-based transparency
5. Kalman Filter Lines
• Fast filter: Bullish color (green default)
• Slow filter: Bearish color (red default)
• Width: 2px
• Transparency adjustable (0-90%)
• Optional display toggle
6. Signal Markers
• Long: Green triangle below bar (tiny size)
• Short: Red triangle above bar (tiny size)
• Appear only on confirmed signals
• Includes alert generation
7. Premium Dashboard
Features real-time metrics with visual gauges:
Layout Options:
• Position: 4 corners selectable
• Size: Small (9 rows) / Normal (12 rows) / Large (14 rows)
• Themes: Supreme, Cosmic, Vortex, Heritage
Metrics Displayed:
• Gamma (DFA - 0.5): Shows trend persistence vs mean-reversion
• TCI (Trend Strength): ATR-normalized Kalman spread with gauge
• v/c (Relative Volume): Current vs average with color coding
• Entropy: Market predictability state with gauge
• HFL (High-Frequency Line): Kalman fast/slow difference / ATR
• HFL_acc (Acceleration): Second derivative momentum
• Mem Bias: Net bullish-bearish confluence (-1 to +1)
• Assurance: Confidence × (1-entropy) metric
• Squeeze: Bollinger Band / Keltner Channel squeeze detection
• Breakout P: Probability estimate from DFA + trend + acceleration
• Score: Final confluence vs threshold (normalized)
• Neighbors: Active harmonic patterns count
• Signal Strength: Strong/Moderate/Weak classification
• Signal Banner: Current directional bias with emoji indicators
Gauge Visualization:
• 10-bar horizontal gauges (█ filled, ░ empty)
• Color-coded: Green (strong) / Gold (moderate) / Red (weak)
• Real-time updates every bar
HOW TO USE
Step 1: Configure Mode and Resolution
• Select Theory Mode based on trading style (Conservative/Balanced/APEX/Institutional)
• Set Structural Resolution (Standard for fast markets, High for balanced, Ultra/Institutional for swing)
• Enable Adaptive Filtering (recommended for all volatile assets)
Step 2: Enable Desired Kernels
• Shannon Entropy: Essential for predictability detection (recommended ON)
• DFA Analysis: Critical for regime classification (recommended ON)
• Kalman Filter: Provides lag-free trend tracking (recommended ON)
• All three work synergistically; disabling reduces effectiveness
Step 3: Configure Confluence Factors
• Enable desired technical factors (RSI, MACD, Volume, Divergence)
• Enable Liquidity Mapping for support/resistance proximity scoring
• Enable Harmonic Detection if trading pattern-based setups
• Adjust base confluence threshold (3.5 default; higher = fewer, cleaner signals)
Step 4: Set Trigger Requirements
• Require Engulfing: Adds precision, reduces frequency (recommended for Conservative)
• Require BOS: Ensures structural alignment (recommended for trend-following)
• Require Structural Soundness: Critical filter preventing traps (highly recommended)
• Strict HTF Bias: For multi-timeframe traders only
Step 5: Adjust Visual Preferences
• Enable/disable Fibonacci levels, S/R lines, PRZ boxes, confluence boxes
• Set label intensity (None/Fib/All)
• Adjust transparency (0-90%) for overlay clarity
• Configure dashboard position, size, and theme
Step 6: Configure Alerts
• Enable master alerts toggle
• Select alert types: Anticipation, Confirmation, High Confluence, Low Entropy
• Enable JSON details for automated trading integration
Step 7: Interpret Signals
• Wait for triangle markers (green up = long, red down = short)
• Check dashboard for confluence score, entropy, DFA regime
• Verify signal aligns with higher timeframe bias (if using HTF setting)
• Confirm adequate space to take-profit levels (no nearby structural barriers)
Step 8: Execute and Manage
• Enter at close of signal candle (or next bar open)
• Set stop-loss at calculated level (visible in alert if JSON enabled)
• Scale out at TP1 (1.5R default), trail remaining to TP2 (3.0R default)
• Exit early if entropy spikes >0.7 or DFA regime flips against position
CUSTOMIZATION GUIDE
Timeframe Optimization:
Scalping (1-5 minutes):
• Theory Mode: APEX
• Anticipation Depth: 3-5
• Structural Resolution: STANDARD
• Signal Cooldown: 8-12 bars
• Enable fast kernels, disable HTF bias
Day Trading (15m-1H):
• Theory Mode: BALANCED
• Anticipation Depth: 5-8
• Structural Resolution: HIGH
• Signal Cooldown: 12-20 bars
• Standard configuration
Swing Trading (4H-Daily):
• Theory Mode: INSTITUTIONAL
• Anticipation Depth: 8-13
• Structural Resolution: ULTRA or INSTITUTIONAL
• Signal Cooldown: 20-50 bars
• Enable HTF bias, strict confirmations
Market Type Optimization:
Forex Majors:
• All kernels enabled
• Harmonic patterns effective
• Balanced or Institutional mode
• Standard settings work well
Stock Indices:
• Emphasis on volume analysis
• DFA critical for regime detection
• Conservative or Balanced mode
• Enable liquidity mapping
Cryptocurrencies:
• Adaptive filtering essential
• Higher volatility regime expected
• APEX mode for active trading
• Wider ATR multiples for swing sizing
IMPORTANT DISCLAIMERS
• This indicator does not predict future price movements
• Computational kernels calculate probabilities, not certainties
• Past confluence scores do not guarantee future signal performance
• Always backtest on YOUR specific instruments and timeframes before live trading
• Machine learning kernels require calibration period (minimum 100 bars of data)
• Performance varies significantly across market conditions and regimes
• Signals are suggestions for analysis, not automated trading instructions
• Proper risk management (stops, position sizing) is mandatory
• Complex calculations may impact performance on lower-end devices
• Designed for liquid markets; avoid illiquid or gap-prone instruments
PERFORMANCE CONSIDERATIONS
Computational Intensity:
• DFA analysis: Moderate (scales with length and box size parameters)
• Entropy calculation: Moderate (scales with lookback and bins)
• Kalman filtering: Low (efficient state-space updates)
• Harmonic detection: Moderate to High (pattern matching across swing history)
• Overall: Medium computational load
Optimization Tips:
• Reduce Structural Analysis Depth (144 default → 50-100 for faster performance)
• Increase Calc Step (2 default → 3-4 for lighter load)
• Reduce Pattern Analysis Depth (8 default → 3-5 if harmonics not primary focus)
• Limit Draw Window (150 bars default prevents visual clutter on long charts)
• Disable unused confluence factors to reduce calculations
Best Suited For:
• Liquid instruments: Major forex, stock indices, large-cap crypto
• Active timeframes: 5-minute through daily (avoid tick/second charts)
• Trending or ranging markets: Adapts to both via regime detection
• Pattern traders: Harmonic integration adds geometric confluence
• Multi-timeframe analysts: HTF bias and regime detection support this approach
Not Recommended For:
• Illiquid penny stocks or micro-cap altcoins
• Markets with frequent gaps (stocks outside regular hours without gap adjustment)
• Extremely fast timeframes (tick, second charts) due to calculation overhead
• Pure mean-reversion systems (unless using CONSERVATIVE mode with DFA filters)
METHODOLOGY NOTE
The computational kernels (Shannon Entropy, DFA, Kalman Filter) are established statistical and signal processing techniques adapted for financial time series analysis. These are deterministic mathematical algorithms, not predictive AI models. The term "machine learning" refers to the adaptive, data-driven nature of the calculations, not neural networks or training processes.
Confluence scoring is rule-based with regime-dependent weighting. The system does not "learn" from historical trades but adapts its sensitivity to current volatility and trend conditions through mathematical regime classification.
SUPPORT & UPDATES
• Questions about configuration or usage? Send me a message on TradingView
• Feature requests are welcome for consideration in future updates
• Bug reports appreciated and addressed promptly
• I respond to messages within 24 hours
• Regular updates included (improvements, optimizations, new features)
FINAL REMINDERS
• This is an analytical tool for confluence analysis, not a standalone trading system
• Combine with your existing strategy, risk management, and market analysis
• Start with paper trading to learn the system's behavior on your markets
• Allow 50-100 signals minimum for performance evaluation
• Adjust parameters based on YOUR timeframe, instrument, and trading style
• No indicator guarantees profitable trades - proper risk management is essential
— Dskyz, Trade with insight. Trade with anticipation.
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KAB 1.2 Beta🚀 KAB 1.2 Indicator by Lastkingkoby 📈
Unlock the power of smart trading with KAB 1 – your ultimate all-in-one tool for spotting 🔑 support/resistance levels and generating 💰 gold-standard buy/sell signals! Crafted by Koby A. Brown (@Lastkingkoby), this Pine Script v5 indicator overlays directly on your charts for seamless analysis. Perfect for traders hunting for high-probability setups in volatile markets! 🌟
🔰 Key Features:
Dynamic Support & Resistance Lines 🛡️⚔️:
Automatically draws robust S/R lines using a blend of RSI, CMO (based on HMA), and pivot calculations. Watch lines evolve in real-time – they break on breaches 🚧, count bounces 🔄, and even flip roles (e.g., support turns resistance) when conditions change! Customizable timeframe for multi-TF precision. Labels show "Support Line" or "Flipped Res" with color-coded vibes (green for support 💚, orange for resistance 🟠).
Gold Prediction & Signals 🔮💹:
Powered by a sophisticated range filter with smoothed averages and multipliers, it detects trends with upward/downward counters. Get clear bar colors: lime for strong buys 🟢, red for sells 🔴, and more! Signals include:
Buy/Long 💸: Bullish conditions with SL suggestions based on lower bands.
Sell/Short 🐻: Bearish triggers with SL from upper bands.
Warning Alerts ⚠️: Spots potential failed bounces (e.g., "Short Warn" or "Long Warn") to avoid traps – ideal for risk management!
Visuals & Alerts 📊🚨:
Enjoy colorful plots: filter line in green/red/orange 🎨, high/low bands in aqua/fuchsia with translucent fills 🌈. Bar colors highlight momentum shifts. Set up alerts for new S/R lines, buys, sells, and warnings – never miss a move!
📝 How to Use:
Add to your chart and tweak inputs like S/R Timeframe, Gold Period (default 100), or Range Coeff (default 5.0) for your style.
Look for confluences: Buy near flipped support 💪, sell at resistance breakdowns 📉.
Combine with your strategy for crypto, forex, or stocks – it's overlay-friendly!
Pro Tip: Use on higher timeframes for major levels, lower for intraday scalps. Trade smart, stay profitable! 🤑📉
© Koby "Lastkingkoby" Brown – Elevate your game today! 🚀
Harmonic Patterns Pro 1.0 [abusuhil]# Harmonic Patterns Pro 1.0
## 📊 Professional Harmonic Pattern Detector - All 10 Classical Models
**Harmonic Patterns Pro** is a comprehensive, non-repainting indicator that automatically detects and displays all 10 classical harmonic patterns in real-time. Built with precision and professional traders in mind, this indicator helps you identify high-probability reversal zones based on Fibonacci ratios.
---
## ✨ Key Features
### 🎯 10 Harmonic Patterns Supported
- **Gartley** - The most common harmonic pattern
- **Bat** - High accuracy with tight stop loss
- **Butterfly** - Extended pattern with strong reversal potential
- **Crab** - Extreme extension pattern (1.618 XA)
- **Deep Crab** - Deeper B retracement variant
- **Shark** - Unique C point extension pattern
- **Cypher** - C extends beyond A, tight stop loss
- **AB=CD** - Simple equal-leg pattern
- **Alternate Bat** - Bat variation with D beyond X
- **Three Drives** - Three equal impulse moves
### 🔒 100% Non-Repainting
- Patterns are drawn **only after completion** (candle close)
- Once drawn, patterns **stay permanently** on the chart
- No future data used - completely reliable for live trading
- What you see in history is what you get in real-time
### 🎚️ 5 Sensitivity Levels
Choose the detection accuracy that fits your trading style:
- **Strict (±2%)** - Highest accuracy, fewer signals
- **Medium-Strict (±5%)** - Good balance
- **Medium (±8%)** - Recommended for most traders
- **Medium-Loose (±12%)** - More patterns detected
- **Loose (±18%)** - Maximum pattern detection
### 🎨 Advanced Visual Design
- **PRZ Zone**: Automatic Potential Reversal Zone highlighting
- **Pattern Fill**: Shaded area between pattern lines for clarity
- **XABCD Points**: Clear labeling of all pivot points
- **Color Coded**: Green for bullish, red for bearish patterns
- **Customizable**: Adjust colors, opacity, line styles, label sizes
### 📈 Complete Trading System
- **Entry Signals**: Clear BUY/SELL labels at point D
- **3 Profit Targets**: TP1 (38.2%), TP2 (61.8%), TP3 (100% CD)
- **Stop Loss**: Automatically calculated and displayed
- **Entry Timing**: Option to enter at D or next candle
- **Pattern Names**: Each pattern labeled (e.g., "Bullish Bat")
### 🧹 Simplified Mode
- Toggle to hide all decorations
- Shows only: BUY/SELL signals, targets, and stop loss
- Perfect for experienced traders who want a clean chart
### 🚫 Anti-Overlap System
- **Minimum Bars Between Patterns** setting
- Prevents cluttered charts with overlapping patterns
- Ensures only the most recent, valid patterns are displayed
- Adjustable from 5 to 50 bars
### 🔔 Smart Alert System
- **3 Alert Types**: Buy Signal, Sell Signal, Any Signal
- **Signal Tester Compatible**: Works with backtesting tools
- **alertcondition()** method for TradingView alerts
- Get notified immediately when patterns complete
---
## 🚀 Quick Start Guide
### Recommended Settings (Beginners)
```
ZigZag Length: 12
Sensitivity: Medium
PRZ Opacity: 40
Fill Opacity: 30
Entry on Next Candle: false
Simplified Mode: false
Min Bars Between Patterns: 15
```
### For Live Trading
```
Entry on Next Candle: true ← Important!
```
### For Clean Charts
```
Simplified Mode: true
```
---
## 📊 Best Practices
### Timeframes
- **Best**: 4H, Daily, Weekly
- **Good**: 1H, 2H
- **Acceptable**: 15m, 30m
### Markets
Works on **all markets**: Forex, Stocks, Crypto, Commodities, Indices
### Risk Management
- Risk per trade: 1-2% of account
- Stop Loss: Use indicator's calculated SL
- Profit Targets: Scale out at TP1, TP2, TP3
- Minimum R:R: 1:2
---
## 🎓 Trading Strategies
### Strategy 1: Conservative
- Sensitivity: Strict
- Entry on Next Candle: true
- Confirm with RSI/MACD
### Strategy 2: Aggressive
- Sensitivity: Medium-Loose
- Quick entry and exit
- Scale out at TP1, TP2
### Strategy 3: Swing Trading
- Sensitivity: Strict
- Timeframe: 4H, Daily
- Hold to TP3
### Strategy 4: Multi-Timeframe
- Identify pattern on higher timeframe
- Enter on lower timeframe pattern
---
## 🔔 Setting Up Alerts
1. Right-click on chart → **"Add Alert"**
2. Condition → **"Harmonic Patterns Pro 1.0 "**
3. Choose: Buy Signal / Sell Signal / Any Signal
4. Click **"Create"**
---
## ❓ FAQ
**Q: Does this indicator repaint?**
A: No. 100% non-repainting.
**Q: What's the best sensitivity setting?**
A: Start with "Medium".
**Q: How many patterns should I expect?**
A: Daily: 1-3/month. 1H: 5-10/week.
**Q: Can I use this for backtesting?**
A: Yes! Compatible with Signal Tester.
**Q: Should I trade every pattern?**
A: No. Focus on quality setups.
**Q: What's the typical win rate?**
A: Beginners: 40-50%, Advanced: 65-75%.
---
## 🎯 Why Choose This Indicator?
✅ **Comprehensive** - All 10 patterns in one
✅ **Reliable** - 100% non-repainting
✅ **Professional** - Clean, customizable design
✅ **Complete** - Entry, targets, stop loss included
✅ **User-Friendly** - Easy to use
✅ **Flexible** - Works on all markets and timeframes
---
## ⚠️ Disclaimer
This indicator is a tool for technical analysis and should not be considered financial advice. Trading involves substantial risk of loss. Always use proper risk management and never risk more than you can afford to lose.
---
## 🏆 Final Words
**Harmonic Patterns Pro 1.0** combines classical harmonic pattern theory with modern automation. Start identifying high-probability reversal zones today!
**Version**: 1.0 | **Author**: | **Last Updated**: October 2025
**Happy Trading! 📊✨**
---
---
---
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# 🌟 النسخة العربية | ARABIC VERSION 🌟
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---
---
# مؤشر نماذج الهارمونيك الاحترافي 1.0
## 📊 كاشف احترافي لنماذج الهارمونيك - جميع النماذج العشرة الكلاسيكية
**مؤشر نماذج الهارمونيك الاحترافي** هو مؤشر شامل وغير معاد الرسم يكتشف ويعرض تلقائياً جميع نماذج الهارمونيك الكلاسيكية العشرة في الوقت الفعلي. تم بناؤه بدقة ومع وضع المتداولين المحترفين في الاعتبار، يساعدك هذا المؤشر على تحديد مناطق الانعكاس عالية الاحتمالية بناءً على نسب فيبوناتشي.
---
## ✨ الميزات الرئيسية
### 🎯 دعم 10 نماذج هارمونيك
- **Gartley (جارتلي)** - النموذج الأكثر شيوعاً
- **Bat (الخفاش)** - دقة عالية مع وقف خسارة ضيق
- **Butterfly (الفراشة)** - نموذج ممتد مع إمكانية انعكاس قوية
- **Crab (السلطعون)** - نموذج امتداد متطرف (1.618 XA)
- **Deep Crab (السلطعون العميق)** - نسخة أعمق من السلطعون
- **Shark (القرش)** - نموذج فريد بامتداد النقطة C
- **Cypher (السايفر)** - C تمتد بعد A، وقف خسارة ضيق
- **AB=CD** - نموذج بسيط بأرجل متساوية
- **Alternate Bat (الخفاش البديل)** - نسخة من الخفاش مع D بعد X
- **Three Drives (الدفعات الثلاث)** - ثلاث حركات دفع متساوية
### 🔒 عدم إعادة الرسم 100%
- يتم رسم النماذج **فقط بعد الاكتمال** (إغلاق الشمعة)
- بمجرد الرسم، تبقى النماذج **بشكل دائم** على الشارت
- لا يتم استخدام بيانات مستقبلية - موثوق تماماً للتداول المباشر
- ما تراه في التاريخ هو ما تحصل عليه في الوقت الفعلي
### 🎚️ 5 مستويات حساسية
اختر دقة الكشف التي تناسب أسلوب التداول الخاص بك:
- **Strict (صارم ±2%)** - أعلى دقة، إشارات أقل
- **Medium-Strict (متوسط-صارم ±5%)** - توازن جيد
- **Medium (متوسط ±8%)** - موصى به لمعظم المتداولين
- **Medium-Loose (متوسط-مرن ±12%)** - اكتشاف المزيد من النماذج
- **Loose (مرن ±18%)** - أقصى اكتشاف للنماذج
### 🎨 تصميم مرئي متقدم
- **منطقة PRZ**: تمييز تلقائي لمنطقة الانعكاس المحتملة
- **تظليل النموذج**: منطقة مظللة بين خطوط النموذج للوضوح
- **نقاط XABCD**: تسمية واضحة لجميع نقاط المحور
- **ترميز لوني**: أخضر للنماذج الصاعدة، أحمر للنماذج الهابطة
- **قابل للتخصيص**: ضبط الألوان، الشفافية، أنماط الخطوط، أحجام الملصقات
### 📈 نظام تداول كامل
- **إشارات الدخول**: ملصقات BUY/SELL واضحة عند النقطة D
- **3 أهداف ربح**: TP1 (38.2%)، TP2 (61.8%)، TP3 (100% CD)
- **وقف الخسارة**: يتم حسابه وعرضه تلقائياً
- **توقيت الدخول**: خيار للدخول عند D أو الشمعة التالية
- **أسماء النماذج**: كل نموذج مُسمى (مثل "Bullish Bat")
### 🧹 الوضع المبسط
- تبديل لإخفاء جميع الزخارف
- يعرض فقط: إشارات BUY/SELL، الأهداف، ووقف الخسارة
- مثالي للمتداولين ذوي الخبرة الذين يريدون شارت نظيف
### 🚫 نظام منع التداخل
- إعداد **الحد الأدنى من الشموع بين النماذج**
- يمنع الشارت المزدحم بالنماذج المتداخلة
- يضمن عرض النماذج الأحدث والصالحة فقط
- قابل للتعديل من 5 إلى 50 شمعة
### 🔔 نظام تنبيهات ذكي
- **3 أنواع تنبيهات**: إشارة شراء، إشارة بيع، أي إشارة
- **متوافق مع Signal Tester**: يعمل مع أدوات الاختبار الخلفي
- طريقة **alertcondition()** لتنبيهات TradingView
- احصل على إشعار فوري عند اكتمال النماذج
---
## 🚀 دليل البدء السريع
### الإعدادات الموصى بها (للمبتدئين)
```
ZigZag Length: 12
Sensitivity: Medium
PRZ Opacity: 40
Fill Opacity: 30
Entry on Next Candle: false
Simplified Mode: false
Min Bars Between Patterns: 15
```
### للتداول المباشر
```
Entry on Next Candle: true ← مهم!
```
### للشارت النظيف
```
Simplified Mode: true
```
---
## 📊 أفضل الممارسات
### الأطر الزمنية
- **الأفضل**: 4 ساعات، يومي، أسبوعي
- **جيد**: ساعة، ساعتين
- **مقبول**: 15 دقيقة، 30 دقيقة
### الأسواق
يعمل على **جميع الأسواق**: الفوركس، الأسهم، العملات الرقمية، السلع، المؤشرات
### إدارة المخاطر
- المخاطرة لكل صفقة: 1-2% من الحساب
- وقف الخسارة: استخدم SL المحسوب من المؤشر
- أهداف الربح: خذ أرباح تدريجية عند TP1، TP2، TP3
- الحد الأدنى للمخاطرة/العائد: 1:2
---
## 🎓 استراتيجيات التداول
### الاستراتيجية 1: المحافظة
- الحساسية: Strict (صارم)
- الدخول من الشمعة التالية: true
- التأكيد مع RSI/MACD
### الاستراتيجية 2: العدوانية
- الحساسية: Medium-Loose (متوسط-مرن)
- دخول وخروج سريع
- أخذ أرباح تدريجية عند TP1، TP2
### الاستراتيجية 3: السوينج
- الحساسية: Strict (صارم)
- الإطار الزمني: 4 ساعات، يومي
- الاحتفاظ حتى TP3
### الاستراتيجية 4: متعدد الأطر الزمنية
- تحديد النموذج على إطار زمني أعلى
- الدخول على نموذج إطار زمني أقل
---
## 🔔 إعداد التنبيهات
1. انقر بزر الماوس الأيمن على الشارت → **"Add Alert"**
2. الشرط → **"Harmonic Patterns Pro 1.0 "**
3. اختر: Buy Signal / Sell Signal / Any Signal
4. اضغط **"Create"**
---
## ❓ الأسئلة الشائعة
**س: هل يعيد المؤشر الرسم؟**
ج: لا. عدم إعادة الرسم 100%.
**س: ما هو أفضل إعداد للحساسية؟**
ج: ابدأ بـ "Medium" (متوسط).
**س: كم عدد النماذج المتوقعة؟**
ج: يومي: 1-3 شهرياً. ساعة: 5-10 أسبوعياً.
**س: هل يمكنني استخدامه للاختبار الخلفي؟**
ج: نعم! متوافق مع Signal Tester.
**س: هل يجب أن أتداول كل نموذج؟**
ج: لا. ركز على الإعدادات عالية الجودة.
**س: ما هو معدل الربح النموذجي؟**
ج: المبتدئون: 40-50%، المتقدمون: 65-75%.
---
## 🎯 لماذا تختار هذا المؤشر؟
✅ **شامل** - جميع النماذج العشرة في مؤشر واحد
✅ **موثوق** - عدم إعادة الرسم 100%
✅ **احترافي** - تصميم نظيف وقابل للتخصيص
✅ **كامل** - الدخول، الأهداف، ووقف الخسارة مشمولة
✅ **سهل الاستخدام** - سهل الاستخدام
✅ **مرن** - يعمل على جميع الأسواق والأطر الزمنية
---
## ⚠️ إخلاء المسؤولية
هذا المؤشر هو أداة للتحليل الفني ولا ينبغي اعتباره نصيحة مالية. التداول ينطوي على مخاطر كبيرة للخسارة. استخدم دائماً إدارة المخاطر المناسبة ولا تخاطر أبداً بأكثر مما يمكنك تحمل خسارته.
---
## 🏆 الكلمة الأخيرة
**مؤشر نماذج الهارمونيك الاحترافي 1.0** يجمع بين نظرية نماذج الهارمونيك الكلاسيكية والأتمتة الحديثة. ابدأ في تحديد مناطق الانعكاس عالية الاحتمالية اليوم!
**الإصدار**: 1.0 | **المطور**: | **آخر تحديث**: أكتوبر 2025
**تداول موفق! 📊✨**
AtroNox GOD Mode v8 - Professional AtroNox GOD Mode v8 - Professional Trading Strategy
Overview
AtroNox GOD Mode v8 is an advanced trading strategy that combines dynamic Bollinger Band analysis with proprietary trend detection algorithms. The strategy features six-tier take profit management, multiple filtering systems, and optional integration with PineConnector for automated trading through MetaTrader platforms.
Key Features & Originality
1. GOD Mode Signal Generation System
- **Proprietary Trend Detection**: Custom algorithm that analyzes Bollinger Band breakouts with dynamic trend line generation
- **Adaptive Trend Line**: Automatically adjusts support/resistance levels based on market structure
- **Dual Confirmation**: Combines price action with trend direction changes for high-probability signals
2. Six-Tier Take Profit System
- **Progressive Profit Taking**: Six distinct take profit levels for optimal position management
- **Flexible Sizing**: Customizable position allocation across all six targets
- **Dual Calculation Methods**: Choose between ATR-based or percentage-based targets
- **Dynamic Adjustment**: Targets automatically scale based on market volatility
3. Advanced Market Filtering
Multiple filter options to adapt to different market conditions:
- **ATR Filter**: Entry only when volatility exceeds moving average threshold
- **RSI Filter**: Entry based on momentum extremes
- **Combined Filters**: ATR OR RSI, ATR AND RSI options
- **Flat Market Detection**: Option to trade only in ranging markets
- **No Filtering**: For trending market conditions
4. PineConnector Integration (Optional)
- **MT4/MT5 Compatibility**: Direct integration with MetaTrader platforms
- **Automated Execution**: Sends trade signals directly to your broker
- **Custom Lot Sizing**: Adjustable position sizes for different account types
- **Pip Multiplier Configuration**: Supports Forex, Gold, Indices, and other instruments
5. Enhanced Position Management
- **Intelligent Reversal Handling**: Automatically closes opposite positions before new entries
- **State Tracking**: Monitors position transitions to prevent conflicts
- **Multi-Level Exit Logic**: Progressive profit taking with remainder management
- **Dynamic Stop Loss Options**: ATR-based, percentage-based, or trendline-based stops
How to Use
Initial Setup
1. **Authentication**: Enter "GOD FX" in the authentication field to activate the strategy
2. **Direction Selection**: Enable/disable long and short trades based on your preference
3. **Filter Configuration**: Choose appropriate market filter for current conditions
4. **Risk Management**: Configure TP/SL method (ATR or percentage-based)
Parameter Configuration
GOD Mode Core Settings
- **Sensitivity (default: 100)**: Bollinger Band period - higher values create smoother signals
- **Offset (default: 1.5)**: Band deviation multiplier - adjusts signal sensitivity
Take Profit Configuration
- **Six TP Levels**: Configure multipliers or percentages for each level
- **Position Sizing**: Allocate percentage of position to close at each TP
- **Method Selection**: Choose between ATR-based or percentage-based calculations
Market Filters
- **RSI Settings**: Configure period and threshold levels
- **ATR Settings**: Adjust length and moving average parameters
- **Filter Type**: Select based on current market behavior
Signal Interpretation
- **GOD LONG/SHORT Labels**: Primary entry signals with clear visual markers
- **Trend Line Color**: Visual representation of current trend direction
- **Dashboard Display**: Real-time position status and performance metrics
- **TP Level Lines**: Visual targets displayed when in position
Important Considerations
Strategy Limitations
- **No Guarantee of Future Performance**: Past results do not predict future outcomes
- **Market Dependency**: Performance varies significantly with market conditions
- **Volatility Impact**: High volatility can trigger premature exits
- **Slippage and Fees**: Real trading involves costs not reflected in backtesting
### Risk Warnings
- **Capital at Risk**: Trading involves substantial risk of loss
- **Leverage Warning**: Using leverage magnifies both profits and losses
- **Not Investment Advice**: This tool is for educational purposes only
- **Thorough Testing Required**: Always test on demo accounts before live trading
- **Regular Monitoring Needed**: Automated strategies require ongoing supervision
Technical Components
Core Indicators
- **Modified Bollinger Bands**: Custom deviation calculation with adjustable parameters
- **Dynamic Trend Line**: Proprietary algorithm for trend direction
- **RSI (Relative Strength) Index)**: Momentum confirmation
- **ATR (Average True Range)**: Volatility measurement and target calculation
Position Management Features
- **Progressive Take Profits**: Six levels with customizable allocation
- **Multiple Stop Loss Options**: ATR, percentage, or trendline-based
- **Reversal Detection**: Automatic position flipping on opposite signals
- **State Management**: Tracks position status to prevent conflicts
PineConnector Setup (Optional)
Requirements
- Active PineConnector license
- MetaTrader 4 or 5 with EA installed
- Proper symbol configuration matching broker format
- Correct pip multiplier settings for your instruments
Configuration Guide
1. Enable PineConnector in strategy settings
2. Enter your unique Connector ID
3. Input exact symbol name as shown in MT4/MT5
4. Set appropriate lot size for your account
5. Configure pip multiplier (100 for Gold/Indices, 10000 for Forex majors)
Performance Dashboard
Real-Time Metrics
- **Position Status**: Current direction and entry price
- **P&L Display**: Live profit/loss percentage
- **Trend Status**: Current GOD Mode trend direction
- **RSI Value**: Current momentum reading
- **Performance Stats**: Win rate, total trades, net profit
TP Status Tracking
- Visual indicators for each completed take profit level
- Position management status display
- PineConnector connection status (if enabled)
Recommended Usage
Best Practices
1. **Start with Demo**: Test thoroughly on demo account for at least 30 days
2. **Small Position Sizes**: Begin with minimum lot sizes when going live
3. **Market Selection**: Test on different instruments to find best performers
4. **Regular Review**: Monitor and adjust parameters based on performance
5. **Risk Management**: Never risk more than 1-2% per trade
Timeframe Recommendations
- **Scalping**: 1-minute to 5-minute charts with tight targets
- **Day Trading**: 15-minute to 1-hour charts with standard settings
- **Swing Trading**: 4-hour to daily charts with wider targets
- **Position Trading**: Weekly charts with maximum target distances
Gold Raider Pro [Plazo Sullivan Roche Capital]Core logic
During the London kill-zone, the script locks in the session high/low (LKZ).
After London ends, it looks for a liquidity sweep (price pokes beyond LKZ high/low) then a BOS (break of the first opposing swing) to confirm reversal.
Trades are only valid with higher-timeframe bias (D1 & H4 above/below EMA-50 in agreement).
Optional filters block weak signals: time gate (NY cutoff), ADR (skip if the day’s move is already stretched), and VWAP alignment (Midnight/Weekly/Monthly).
Output is a unified signal: BUY after low sweep + BOS in bull HTF, SELL after high sweep + BOS in bear HTF; labels + dashboard summarize state and reasons.
Best setup & usage
Chart & broker: XAUUSD on a high-liquidity feed (ICMarkets/FXPro/OANDA). Use 2m–5m for executions; confirm with 15m market structure.
Session: Set timezone to America/New_York. Default London kill-zone 02:30–04:30 NY; stop taking new signals after 11:00 NY (toggle in inputs).
HTF bias: Keep EMA length = 50 on D & H4 (default). Only toggle off bias if you’re deliberately testing counter-trend sweeps (not recommended live).
Structure/BOS: Use Swing Length = 3. Leave “Require BOS after the sweep” = ON for the cleanest signals; turn “Require close back inside LKZ” ON only if you want ultra-conservative entries.
VWAP filters: Keep Midnight VWAP = ON; add Weekly/Monthly only on trend days to avoid over-filtering range sessions.
ADR guardrail: Enable ADR filter once you go live; start with ADR Threshold = 0.9 and Lookback 14. This blocks chasing extended moves.
Execution playbook:
BUY: Wait for low sweep of LKZ → BOS up → dashboard shows BULL bias, Time/ADR OK, VWAP pass. Enter on the next pullback or at close; SL below BOS invalidation (or fixed 0.5–0.8× ADR14 of XAU).
SELL: Mirror logic after a high sweep in BEAR bias; SL above BOS invalidation.
TP: Scale at 1R, leave runner to 2–3R or to Midnight/Weekly VWAP touch; hard exit by NY lunchtime or on bias flip.
Risk: 0.25–0.5% per trade (XAU is spiky). One trade per direction per session; if ADR block triggers post-entry, manage to BE or flatten if structure weakens.
Alerts & dashboard: Turn on runtime alerts once parameters are set. Read the Last Signal / Filters row; only act when it shows your direction and “L:OK / S:OK” for your side.
Validation & tuning: Forward-test 3–4 weeks. If over-filtered, relax VWAP Weekly/Monthly first; if too chatty, enforce close-back-inside and keep NY cutoff tight.
Don’ts: Don’t trade during major news spikes, don’t counter the D1/H4 agreement, and don’t enter before BOS—sweeps without structure confirmation are bait.
NSF/NBF Boxes📘 NSF / NBF Extended Boxes (Wyckoff–VSA Smart Zones)
This indicator automatically detects No Supply (NSF) and No Buying / No Demand (NBF) bars using Wyckoff–VSA principles and marks them with extended boxes and a dashed 50% midline.
🟢 NSF (No Supply) — Bullish accumulation signal
🔴 NBF (No Demand) — Bearish distribution signal
Each box extends forward in time to highlight key supply/demand zones, while the dashed midline represents the equilibrium level within that bar.
When price later retests this 50% level, the script triggers a visual marker and an alert condition, helping you spot potential reversals or continuation confirmations.
🧠 Core Features
Automatic detection of No Supply / No Demand bars
Extended boxes with adjustable length and auto-extension
Midline (50%) retest alerts for precise trade timing
Optional EMA trend filter, volume check, and close bias
Works even on symbols without volume data (crypto, indices, FX)
“Test Mode” included for easy visualization and debugging
⚙️ Usage Tips
Use on 5m–4h charts for crypto or stocks to spot professional activity.
Combine with Wyckoff, VSA, or Smart Money Concepts to confirm accumulation/distribution phases.
Look for NSF retests near support in a downtrend → possible long entry.
Look for NBF retests near resistance in an uptrend → possible short entry.
🧩 Parameters
Ignore Volume: disables volume filters for markets with missing data
Use EMA Trend Filter: only confirm signals in direction of trend
Auto-extend Boxes: keeps zones projecting into future bars
Retest Alerts: triggers when price touches midline after formation
💡 Author’s Note
This tool visualizes the often-hidden behavior of smart money absorption and weak demand exhaustion.
Use it as part of a complete trading plan — not as a standalone buy/sell signal
Adaptive Square Levels (Prev + Curr Month, Configurable)
The Adaptive Square Levels (Configurable Edition) indicator dynamically plots price levels based on perfect squares — a concept derived from harmonic market behavior and geometric scaling.
Each month, the script automatically detects the new monthly open and generates square levels both above and below the opening price.
This version introduces full configurability, allowing traders to adjust how many square levels they want to visualize on either side of the base level. The indicator also visually separates previous and current month levels for easy reference.
⚙️ Features
🔢 User-Configurable Range: Choose how many levels to plot above and below the base level.
🧮 Mathematically Derived Levels: Based on perfect squares up to a user-defined max price.
📅 Monthly Auto-Reset: Automatically refreshes at the start of each new month.
🎨 Color-Coded Levels:
Orange → Major levels (square roots divisible by 3)
Yellow → Regular levels
Star (★) → Base level (nearest to monthly open)
🕰️ Dual Month Display: Shows both current and previous month levels for trend comparison.
💡 How to Use
Add the indicator to any symbol and timeframe (preferably daily or higher).
Adjust:
Max Price Level → The upper bound of your price universe.
Number of Levels Each Side → Controls the density of levels.
Observe how price reacts around these mathematically significant zones.
Use in confluence with your own price action, volume, or support/resistance analysis.
📊 Ideal For
Swing traders analyzing monthly trend reversals
Price structure and geometry enthusiasts
Traders exploring market harmonics or square-of-nine–based frameworks
🧠 Note
The script doesn’t provide buy/sell signals — it offers a structural map of key levels derived from square relationships.
Use it as a visual guide to align entries and exits with natural market geometry.
Fib Retrace + Extensions (v6– safe version) v 1🌀 Fib Extension Plus Retracement Strategy: Complete Overview
📊 Purpose and Core Idea
The Fib Extension Plus Retracement Strategy is a hybrid price-action methodology that blends Fibonacci Retracement and Fibonacci Extension tools to map high-probability entry, exit, and target zones within trending markets.
It is designed for precision timing, measured risk exposure, and trend-continuation trading.
By uniting both retracement and extension logic, traders can capture the entire lifecycle of a move — from the pullback phase to the breakout and projected expansion wave.
Harmonic Pattern Sniper PRO- Crypto Lidya🎯 Harmonic Pattern Sniper PRO (HPS PRO) — Crypto Lidya Edition
Professional Harmonic Pattern Detector, Alert & Backtest Engine
🔍 Overview
HPS PRO is a fully automated Harmonic Pattern Detection and Backtest System built for TradingView.
It detects 11 harmonic formations within seconds, draws PRZ (Potential Reversal Zone) boxes, calculates TP/SL levels, and displays performance statistics for each pattern.
📈 “HPS PRO doesn’t just detect patterns — it analyzes them statistically.”
🧩 Supported Patterns
1. Bat
2. Gartley
3. Cypher
4. Crab
5. Deep Crab
6. Butterfly
7. Shark
8. Anti-Shark
9. 5-0 Pattern
10. Nen Star
11. Navarro 200
Each pattern is detected for both bullish and bearish directions with user-defined deviation tolerances.
⚙️ Real-Time & Non-Redrawing
- Detects patterns before candle close (instant detection)
- Intrabar Hard-Lock prevents multiple detections on the same bar
- Snapshot Engine freezes entry levels — patterns never repaint in history
Real-time pattern detection before bar close with “lock” symbol
📸 Instant Detection Proof — Before & After Comparison
To demonstrate the real-time, non-repainting nature of HPS PRO, the following two screenshots show the pattern formation before and immediately after the D-bar closes.
The pattern appears live (before candle close), and the same formation remains visible after the bar closes — confirming zero repainting.
Before Candle Close (Instant Detection Preview):
After Candle Close (Confirmed Pattern, Same Structure):
💡 This comparison clearly proves that HPS PRO draws harmonic structures instantly at the D-bar without any delay or redraw.
🎯 Automated TP / SL Projection
Five Take Profit (TP1–TP5) levels and one Stop-Loss (SL) level are auto-calculated.
Two calculation engines available:
- Fibonacci Classic
- Fibonacci Custom (Crypto Lidya)
Each level has its own label, price display, and color transparency.
PRZ box and ENTRY label visually mark the potential reversal zone.
📊 Backtest Performance Panel
A fully integrated table summarizing each pattern’s success:
- Total formations detected
- SL count
- TP1–TP5 success rates
- Automatic Grand Total row
“Analyze each pattern’s win rate directly from your chart.”
🔔 Smart Alert System
- Edge-based trigger (alerts only once at the first detection)
- 3 alert categories:
1.) All Patterns (Any)
2.) Direction-Based (Bullish / Bearish)
3.) Per-Pattern alerts (e.g., Bullish Deep Crab)
Alert messages are bilingual by default:
EN: Bullish Bat detected.
TR: Boğa Bat formasyonu oluştu.
🧠 Intelligent Architecture
- Hash Pool: guarantees pattern uniqueness (no redraws)
- Snapshot Engine: locks ENTRY/BASE prices at first detection
- Garbage Collector: automatically manages drawing limits
- “Show Last Pattern” mode: displays only the latest formation
💡 Volume Intelligence
- Highlights bars with volume ≥ 2×, 3×, or 4× above average
- Paints candles by volume multiples
“Whale Alert” mode plots colored triangles for ultra-high volume bars
💼 Ideal For
✅ Technical analysts
✅ Harmonic pattern traders
✅ Algorithmic strategy developers
✅ Traders who value statistical validation
“HPS PRO ends the manual search era — every pattern, instantly and accurately.”
🔗 Developed by Crypto Lidya
📩 “For support, please contact the developer on TradingView.”
🧠 “Don’t hunt patterns — let HPS PRO find them.”
📊 “Your backtest table reveals your strategy’s structure.”
🚀 “HPS PRO — The next evolution of harmonic trading.”
🌐 Coming Soon: HPS DEMO (Free Version)
EN: A free demo version (“Harmonic Pattern Sniper DEMO – Crypto Lidya”) will soon be available for public testing on selected pairs.
TR: “Harmonic Pattern Sniper DEMO – Crypto Lidya” isimli ücretsiz demo sürümü yakında seçili grafiklerde denemeye açılacaktır.
Quarterly Theory [@kaleboraciy]🧠 Daye Quarterly Theory is based on the idea that markets often move in repeating cycles. Each part of the cycle reflects a stage of the market
Consolidation
Manipulation
Distribution
Reversal/Continuation
This is a classic AMD-X pattern, which is widely used in SMC & ICT concepts. By spotting these phases, traders can better understand where the market might be heading next.
⭐ An important feature of this indicator is the Fibonacci levels, which are calculated in a clever way on the Q1 part of each cycle. You can use this levels for precise entries on manipulation in Q2
📖 Now I want to give brief description of each cycle:
Daily Cycle - the day can be broken down into 6 hour quarters
Q1 - 18:00 - 00:00 Asia.
Q2 - 00:00 - 06:00 London (True Open).
Q3 - 06:00 - 12:00 NY AM.
Q4 - 12:00 - 18:00 NY PM.
Pro tips:
Q2 often lines up with the session’s True Open - a key reference for directional bias.
Q3 tends to show the most directional momentum during the trading day.
Q4 is a critical zone for judging whether the day will extend the move or retrace.
Weekly Cycle - Daye determined that although the trading week is composed of 5 trading days, we should ignore Friday, and the small portion of Sunday’s price action:
Q1 - Monday
Q2 - Tuesday (True Open, Daily Candle Open Price).
Q3 - Wednesday.
Q4 - Thursday.
Pro tips:
Wednesday (Q3) often provides the week’s strongest directional movement - many trades target this zone.
Tuesday’s manipulation (Q2) may shake out weak positions or set up the directional swing - be careful
Thursday (Q4) helps confirm whether the weekly trend continues or reverses.
Monthly Cycle - considering that we have four weeks in a month, we start the cycle on the first Monday of the month (regardless of the calendar Day):
Q1 - Week 1: first Monday of the month.
Q2 - Week 2: second Monday of the month (True Open, Daily Candle Open Price).
Q3 - Week 3: third Monday of the month.
Q4 - Week 4: fourth Monday of the month.
I hope, that this awesome tool will boost your trading 💰
G. Santostasi Bitcoin Power Law StrategyG. Santostasi Bitcoin Power Law Strategy
Overview
The "G. Santostasi Bitcoin Power Law Strategy" is a TradingView strategy script built upon the foundational Bitcoin Power Law Theory by physicist Giovanni Santostasi.
Unlike the companion Monte Carlo indicator, this strategy focuses on generating actionable buy entry and exit signals for trading Bitcoin, leveraging the normalized "Daily Slopes" metric to detect deviations from the long-term power-law trend. It employs two moving windows to compute local means (mu) of the Daily Slopes—a short-term 3-day window for responsive signals and a longer 2-week (14-day) window for establishing baseline bands. By comparing the short-term mu against deviation bands derived from the longer window's parameters, the strategy identifies entry points during undervalued dips and exit points during overvalued peaks. This approach capitalizes on Bitcoin's scale-invariant behavior, where price follows a power law
P(t)= c t^n, with n~5.9.
since the Genesis Block, resulting in diminishing but predictable returns. Backtested over Bitcoin's full history, the strategy boasts a 77% winning rate and a profit factor of 3.2, making it a robust tool for trend-following with mean-reversion elements. It emphasizes Bitcoin's long-term stability while navigating short-term oscillations, treating cycles as temporary deviations from the core power-law "DNA.
"Core Concept: Daily Slopes
The strategy inherits the Daily Slopes metric from the power-law framework, which normalizes daily logarithmic returns to reveal a stable local slope that oscillates around the global value of ~5.9.Definition and Calculation:
Daily log returns: log(P2/P1)\, where P2 and P1 are consecutive closing prices.
Normalization: Divide by log((t+1)/t), where ( t ) is days since the Genesis Block, yielding:
Daily Slope=log(P2/P1)log((t+1)/t).
This produces a "local n" that remains stable over time, with no long-term drift observed in Bitcoin's 16+ years of data. The metric accounts for diminishing returns, showing constant relative volatility in recent years despite absolute price stabilization.
Distribution and Parameters:
Daily Slopes are fitted to a t-location scale distribution over moving windows, estimating:μ (mu): The location/mean, stable around 5.9 globally.
σ (sigma): Scale/volatility measure.
ν (nu): Degrees of freedom for tail heaviness.
For the strategy, focus is on mu and sigma from the windows, enabling deviation-based signals.
Strategy Logic: Dual Moving Window Mus and Deviation Bands
The strategy computes two mus via rolling fits to the t-distribution:
Short Window mu (3 days): A fast-moving average of Daily Slopes, sensitive to immediate price action for timely signals.
Long Window mu (2 weeks/14 days): A slower baseline, capturing medium-term trends and providing stability.
Deviation bands are derived from the long window's mu and sigma:
Upper Band: Long mu + Long sigma
Lower Band: Long mu - Long sigma
These bands represent 1-standard-deviation ranges around the longer-term mean, highlighting overbought and oversold conditions relative to the power-law trend. The short mu acts as a "signal line," crossing the bands to trigger trades.
Plotting:
Short mu: Responsive line for crossovers.
Long mu: Central baseline.
Bands: Upper (+σ) and lower (-σ) lines from the long window.
Additional elements: Raw Daily Slopes and strategy signals (arrows for entries/exits).
Entry and Exit Rules:
The strategy generates long-only signals (buy/sell) based on crossovers, assuming a single-position approach without leverage or shorting:
Buy Entry: Triggered when the short-window mu crosses above the lower band (long mu - long sigma). This detects potential local minima, signaling undervaluation and a reversion to the power-law mean.
Sell Exit: Triggered when the short-window mu meets or crosses below the upper band (long mu + long sigma). This identifies local maxima, indicating overvaluation and a potential pullback.
Trade Management:
No stop-loss or take-profit hardcoded; users can add via TradingView settings.
Positions close on exit signals, with re-entry on the next valid buy.
Filters for false signals: Optional confirmation from global slope (e.g., only trade if long mu > 5.0) to align with bullish regimes.
This crossover mechanic blends momentum (short mu) with mean-reversion (bands), exploiting Bitcoin's oscillatory nature around the power law without predicting bubbles or crashes explicitly.
Performance Metrics:
Backtested on BTCUSD daily data from the Genesis Block to present (assuming continuous updates):Winning Rate: 77% – A high hit rate due to the strategy's focus on statistically stable deviations.
Profit Factor: 3.2 – Gross profits are 3.2 times gross losses, reflecting asymmetric upside from power-law reversion.
Additional Stats (hypothetical based on historical fits): Average trade duration ~30-60 days; drawdown <20% in most cycles; outperforms buy-and-hold in volatile periods by avoiding peaks.
Caveats: Past performance is not indicative of future results. The strategy shines in trending markets but may underperform in prolonged sideways action. Transaction costs (e.g., fees, slippage) not included in base metrics.
Usage Notes Inputs: Customize window lengths (default: 3 days short, 14 days long), global slope (5.9), and signal thresholds. Enable alerts for entries/exits.
Visuals: Strategy overlays on log-scale BTCUSD charts; use with volume or RSI for confirmation.
Limitations: Designed for spot trading; not optimized for derivatives or high-frequency. Assumes power-law persistence—major regime shifts (e.g., adoption plateaus) could impact efficacy.
Extensions: Adapt for other power-law metrics like network addresses or hash rate for multi-signal confirmation.
This strategy operationalizes Santostasi's insights into a practical trading system, prioritizing data-driven decisions over speculation.
88-Key Piano Range - Musical Price Levels88-Key Piano Range - Musical Price Levels
Description:
Explore price analysis through musical harmony! This educational indicator maps price movements to the standard 88-key piano keyboard (A0 to C8), offering a creative way to visualize market ranges and explore harmonic price relationships with authentic keyboard-style background fills.
🎹 KEY FEATURES:
• Complete 88-Key Mapping - Full piano range from A0 to C8 mapped to your price range
• Piano-Style Visual Design - Clean background fills distinguishing white keys, black keys, and octaves
• Dual Anchor System - Set two time/price points to define your analytical range
• Flexible Display Options - Show all 88 keys, octaves only (C notes), or custom selections
• Harmonic Exploration - Explore consonant/dissonant key relationships based on music theory
• Real-time Price Note - See what musical note your current price represents
• Customizable Interface - Adjust colors, line widths, fills, and visual elements
🎵 EDUCATIONAL CONCEPTS:
• Octave Levels - C notes as harmonic reference points (similar to round numbers)
• Key Classifications - Natural notes (white keys) vs chromatic notes (black keys)
• Harmonic Intervals - Musical relationships applied to price analysis
• Creative Visualization - Alternative way to view price ranges and movements
⚙️ HOW TO USE:
1. Select Your Price Leg - Choose an upleg, downleg, or significant price movement to explore
2. Set Anchor A - Place at the start of your selected leg (swing low for upleg, swing high for downleg)
3. Set Anchor B - Place at the end of your selected leg (swing high for upleg, swing low for downleg)
4. Configure Display - Select all keys, octaves only, or enable background fills
5. Explore Harmonics - Enable harmony coloring to see musical relationships
6. Study Patterns - Observe how price movements align with musical intervals
🎼 CREATIVE APPLICATIONS:
• Experimental Analysis - Try a musical approach to leg analysis
• Educational Tool - Learn about mathematical relationships in both music and markets
• Alternative Perspective - View support/resistance through a musical lens
• Pattern Recognition - Explore if harmonic levels show interesting price behavior
• Fun Learning - Combine musical knowledge with trading concepts
📊 EXPERIMENTAL USE:
• Creative alternative to traditional Fibonacci levels
• Educational exploration of mathematical harmony in markets
• Interesting way to visualize price ranges and retracements
• Novel approach for musicians interested in trading concepts
Important Note: This is an educational and experimental tool that applies musical theory concepts to price analysis. It should be used for learning and exploration purposes alongside proven technical analysis methods. The musical relationships are mathematically based but not validated as reliable trading signals.
Piano Frequency LevelsPiano Frequency Levels
This indicator applies the mathematical principles of musical harmony to market analysis, creating support and resistance levels based on authentic piano frequency ratios. Drawing from centuries-old musical theory, it maps the precise mathematical relationships between piano keys to price levels.
How It Works: The indicator uses the exact frequency ratios from equal temperament tuning - the same mathematical system that makes pianos sound harmonious. Each level represents an actual piano key frequency, scaled proportionally to your chosen anchor price.
Key Features:
• Piano-Based Ratios: Uses authentic 12-tone equal temperament frequency relationships (1.05946 ratio between semitones)
• Directional Intelligence: Automatically creates ascending levels from lows (resistance) or descending levels from highs (support)
• Musical Note Labels: Optional display of actual piano key names (C4, D#5, F6, etc.) alongside price levels
• Black Key Subdivisions: Toggle authentic sharp/flat keys between natural notes for additional precision
• Octave Color Coding: Each musical octave displays in a different color for easy visual identification
• Anchor Reference: Bright green line clearly marks your C-note reference point
Musical Foundation: Every level corresponds to an actual piano key. The anchor point represents "C" (the musical root), with levels progressing through the natural musical sequence: C, D, E, F, G, A, B, then repeating in higher octaves. This creates proportional spacing that mirrors the harmonic relationships musicians have used for centuries.
Usage:
1. Set your anchor to a significant market high or low
2. Choose your desired number of levels (typically 12-24 for 1-2 octaves)
3. Enable "Add Black Keys" for additional intermediate levels
4. Enable "Show Note Names" to see which piano key each level represents
The Theory: Musical harmony is based on precise mathematical ratios that create pleasing relationships between frequencies. These same mathematical principles may manifest in market movements, as price action often exhibits proportional relationships similar to musical intervals.
Unique Advantages:
• Based on established mathematical principles rather than arbitrary ratios
• Provides both major levels (white keys) and intermediate levels (black keys)
• Automatically adapts direction based on anchor type (high vs low)
• Maintains authentic musical relationships across all timeframes and price ranges
Important Note: This indicator presents a theoretical framework for market analysis. Like all technical analysis tools, it should be used in conjunction with other forms of analysis and proper risk management. The musical ratios provide a unique perspective on potential support and resistance levels, but past performance does not guarantee future results.
Transform your charts into a musical instrument and discover the hidden harmonies in market movements.
Swings as Music - Full octaveEvery level corresponds as every note. plot it from high to low and your chart will show you the levels related to the notes vibrations.
Fibonacci Momentum CascadeThe Foundation: FMC Indicator:
The Fibonacci Momentum Cascade (FMC) is an AI-enhanced technical indicator that automates Fibonacci analysis, removing the guesswork and doubt that plagues manual drawing. Instead of relying on subjective human input, the FMC uses a proprietary Momentum Cascade Engine™ that constantly analyzes market strength to detect significant shifts in buying and selling pressure. When confirmed, it automatically identifies the most relevant market trend, cascades fresh Fibonacci levels, and grades potential technical setups. It features 100% automated swings, adaptive real-time analysis, and professional setup grading with Primary Setups (▲P / ▼P) for A+ formations and Secondary Setups (▲S / ▼S) for supplementary patterns.
The Adaptive Edge: AI Co-Pilot:
Our AI analyzes multiple data sources including market sentiment, technical patterns, fundamental factors, and news events to generate comprehensive market insights. It also fine-tunes the FMC indicator inputs for today's market, outputting personalized settings optimized for multiple timeframes (1d, 4h, 1h, 15m, 5m) — removing guesswork and maximizing precision for your asset.
The Force Multiplier: The Hub:
The Hub is our community intelligence platform where users share market analyses and insights. When you or others request AI analyses, they become available in The Hub for everyone to access without using credits. This creates a growing library of market insights across all asset classes. You can browse community analyses, discover trending assets, and benefit from the collective wisdom of experienced traders—essentially getting free analyses beyond your monthly credits.
Cyclic Reversal Engine [AlgoPoint]Overview
Most indicators focus on price and momentum, but they often ignore a critical third dimension: time. Markets move in rhythmic cycles of expansion and contraction, but these cycles are not fixed; they speed up in trending markets and slow down in choppy conditions.
The Cyclic Reversal Engine is an advanced analytical tool designed to decode this rhythm. Instead of relying on static, lagging formulas, this indicator learns from past market behavior to anticipate when the current trend is statistically likely to reach its exhaustion point, providing high-probability reversal signals.
It achieves this by combining a sophisticated time analysis with a robust price-action confirmation.
How It Works: The Core Logic
The indicator operates on a multi-stage process to identify potential turning points in the market.
1. Market Regime Analysis (The Brain): Before analyzing any cycles, the indicator first diagnoses the current "personality" of the market. Using a combination of the ADX, Choppiness Index, and RSI, it classifies the market into one of three primary regimes:
- Trending: Strong, directional movement.
- Ranging: Sideways, non-directional chop.
- Reversal: An over-extended state (overbought/oversold) where a turn is imminent.
2. Adaptive Cycle Learning (The "Machine Learning" Aspect): This is the indicator's smartest feature. It constantly analyzes past cycles by measuring the bar-count between significant swing highs and swing lows. Crucially, it learns the average cycle duration for each specific market regime. For example, it learns that "in a strong trending market, a new swing low tends to occur every 35 bars," while "in a ranging market, this extends to 60 bars."
3. The Countdown & Timing Signal: The indicator identifies the last major swing high or low and starts a bar-by-bar countdown. Based on the current market regime, it selects the appropriate learned cycle length from its memory. When the bar count approaches this adaptive target, the indicator determines that a reversal is "due" from a timing perspective.
4. Price Confirmation (The Trigger): A signal is never generated based on timing alone. Once the timing condition is met (the cycle is "due"), the indicator waits for a final price-action confirmation. The default confirmation is the RSI entering an extreme overbought or oversold zone, signaling momentum exhaustion. The signal is only triggered when Time + Price Confirmation align.
How to Use This Indicator
- The Dashboard: The panel in the bottom-right corner is your command center.
- Market Regime: Shows the current market personality analyzed by the engine.
- Adaptive Cycle / Bar Count: This is the core of the indicator. It shows the target cycle length for the current regime (e.g., 50) and the current bar count since the last swing point (e.g., 45). The background turns orange when the bar count enters the "due zone," indicating that you should be on high alert for a reversal.
- BUY/SELL Signals: A label appears on the chart only when the two primary conditions are met:
The timing is right (Bar Count has reached the Adaptive Cycle target).
The price confirms exhaustion (RSI is in an extreme zone).
A BUY signal suggests a downtrend cycle is likely complete, and a SELL signal suggests an uptrend cycle is likely complete.
Key Settings
- Pivot Lookback: Controls the sensitivity of the swing point detection. Higher values will identify more significant, longer-term cycles.
- Market Regime Engine: The ADX, Choppiness, and RSI settings can be fine-tuned to adjust how the indicator classifies the market's personality.
- Require Price Confirmation: You can toggle the RSI confirmation on or off. It is highly recommended to keep it enabled for higher-quality signals.
Swing PVT ForecastИндикатор Swing PVT Forecast предназначен для построения целевых и коррекционных зон к выбранному свингу. Пользователь вручную указывает свинг — High (точка A) и Low (точка B). На основе разницы цены и времени между ними - строятся зоны продолжения (Target Levels) и зоны коррекции (Correction Levels), рассчитанные на основании синтеза методик Ганна, Коуэна и Хержика.
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The Swing PVT Forecast indicator is designed to plot target and correction zones for a selected swing. The user manually specifies the swing — High (point A) and Low (point B). Based on the price&time difference between them, the indicator builds continuation zones (Target Levels) and correction zones (Correction Levels), calculated using a synthesis of the methods of Gann, Cowan, and Herzik.
Signalgo CHoCHSignalgo CHoCH: Informative Technical Overview
Signalgo CHoCH is a multi-factor indicator designed for TradingView to detect “Change of Character” (CHoCH) shifts in market structure, signaling significant trend reversals and managing trades with risk control. This documentation details how it operates, its customizable parameters, signal methodology, what makes it different from traditional tools, and typical strategy applications.
How Signalgo CHoCH Works
1. Market Structure Detection
Swing High & Low Identification: The indicator uses an adaptive swing length to isolate important pivot highs and lows in price action. These pivots signal points where the market reversed direction or paused, forming the “swing structure” core to this strategy.
Body Strength Validation: Not every pivot break is meaningful. Signalgo CHoCH assesses price bar “body strength”—quantifying if the current candle’s body is disproportionately large compared to a recent average—to filter out weak or indecisive moves, retaining only those breaks likely to indicate genuine momentum.
2. Change of Character (CHoCH) Signal Logic
Bullish CHoCH: Triggered when price closes above the last significant swing low (the most recent support) with a strong candle body, indicating a transition from bearish to bullish market structure.
Bearish CHoCH: Triggered when price closes below the last significant swing high (key resistance) with a strong bearish candle, denoting a shift from bullish to bearish structure.
One-Time Event Recognition: Each break is tracked so that signals are issued only once per directional change, reducing repeated or redundant entries.
3. Higher Timeframe Confirmation
Multi-Timeframe Consistency: The indicator requires the CHoCH signal (on the current trading timeframe) to be confirmed by the market structure status of a selected higher timeframe. This adds an extra layer of validation, ensuring the signal aligns with broader trends.
Inputs
SwingLen: The number of bars used to define swing pivots.
bodyStrength & bodyLookback: Control sensitivity for body size validation, filtering which candle breaks are considered strong enough for signaling.
htfTf: Selects the higher timeframe for multi-timeframe checking.
show_tpsl: Toggle to show/hide automated Take Profit (TP) and Stop Loss (SL) levels on the chart.
ATR, TP/SL/RR/Trailing Settings: Determines how risk and reward are managed, using ATR for stop placement and multi-level profit targets with optional trailing stop activation after TP1.
Entry & Exit Strategy
Entry Logic
Long Entry: When a bullish CHoCH is detected, optionally confirmed by the higher timeframe, it marks a buy opportunity at the close of the breakout candle.
Short Entry: When a bearish CHoCH forms, also with optional higher timeframe confirmation, it identifies a sell entry at the close of the confirmation candle.
Exit & Trade Management
Stop Loss (SL): Automatically placed at a set ATR distance from entry, dynamically adapting to volatility.
Take Profits (TP1, TP2, TP3): Multiple reward targets are calculated and marked for systematic scaling out or profit-taking, based on a defined risk multiple.
Trailing Stop: Once the first profit target is hit, SL moves to breakeven, and a trailing stop engages, incrementally securing further gains if the trend continues.
State Tracking: All TP, SL, and trailing events are labeled on the chart for easy post-trade analysis.
Body Strength and Trend Filtering: Breakouts are only considered if the candle’s body confirms significant momentum, not just a fleeting spike, improving signal quality.
Event-Driven, Not Rolling: Each bullish or bearish “character change” is signaled only at the true point of structural shift, with strict per-event marking, not continuous signal generation as with typical MA cross strategies.
Integrated Multi-Timeframe Logic: higher timeframe validation minimizes false positives from short-term volatility noise, a capability not found in most indicator-based tools.
Automated, Dynamic Trade Management: This indicator overlays a complete trade management suite (TPs, SL, trailing) that moves with market conditions, allowing for risk handling directly from each signal.
Trading Strategy Application
Trend Reversal & Continuation: Suitable for identifying both sudden reversals and structural continuations, adaptable for intraday, swing, or positional trading styles.
Noise Filtering: Multiple checks (body strength, momentum, multi-timeframe) focus signals on genuine trend changes, filtering out most “whipsaws” seen in pure MA systems.
Visual Feedback: All transitions, TPs, SLs, and trailing events are visually annotated, enhancing the educational and review process.






















