MarketMind PROM🜁rketMind PRO ────────────────────
Descriptive Market Context & Risk Awareness
M🜁rketMind PRO is a professional-grade market context system designed to help traders maintain situational clarity and explicit risk awareness — without signals, confidence scoring, or forward-looking interpretation.
Rather than telling traders what to trade or how confident to be, M🜁rketMind PRO focuses on describing what is happening in the market and where caution may be warranted.
This script is designed as a standalone descriptive tool. It does not provide execution guidance, trade signals, or predictive insight.
WHAT IT DOES ────────────────────
M🜁rketMind PRO evaluates current market conditions across multiple dimensions — including session context, regime state, momentum direction, volatility, liquidity, and structural behavior — and presents them in a clean, human-readable HUD.
The system emphasizes description over interpretation.
It highlights conditions that may elevate or reduce risk without assessing alignment strength, assigning confidence, or projecting outcomes.
The script provides visibility into:
Market context and session awareness
Basic regime states and transitions
Momentum direction (up, down, neutral)
Volatility, liquidity, and structural caution conditions
Environmental factors that may influence risk
The goal is to make risk visible — without telling traders what to do with it.
HOW TO USE IT ────────────────────
M🜁rketMind PRO is not a signal generator.
It is designed to be used alongside discretionary price action, rule-based entries, or systematic strategies, helping traders stay aware of context and potential risk while executing their own process.
Common questions it can help inform include:
What type of market environment is currently present?
Is momentum developing, stalling, or absent?
Are volatility or liquidity conditions elevated?
Does the environment appear clean or structurally fragile?
M🜁rketMind PRO describes conditions as they are.
Interpretation and decision-making remain entirely with the trader.
DESIGN PHILOSOPHY ────────────────────
M🜁rketMind PRO is intentionally descriptive.
It includes context and caution layers without interpretive or evaluative frameworks:
Market context, momentum, and risk visibility
Volatility, liquidity, and structural awareness
Session awareness without gating or execution logic
A single, consistent HUD perspective
No confidence scoring or conviction grading
No predictive or forward-looking language
Nothing is implied.
Nothing is projected.
This script shows what is happening and where risk may exist — nothing more.
WHO IT IS FOR ────────────────────
M🜁rketMind PRO is suited for traders who:
Prefer structured context over signals
Manage their own execution and risk decisions
Value awareness of environmental and structural conditions
Want clarity without interpretive bias
It is not designed for:
Buy or sell alerts
Execution guidance
Predictive or outcome-based analysis
IMPORTANT NOTES ────────────────────
M🜁rketMind PRO does not provide financial advice
No system can predict future price behavior
This tool is designed to inform awareness, not decisions
Used appropriately, M🜁rketMind PRO supports disciplined, context-aware trading
Phân tích Xu hướng
Cosmic Crypto Golden ZoneCosmic Crypto Golden Zone
## Overview
**Cosmic Crypto Golden Zone** is an all-in-one swing trading indicator designed to identify high-probability retracement entries using Fibonacci levels, multi-timeframe confluence, and a simple Buy/Sell scoring system. The indicator removes the guesswork from trading pullbacks by combining structure analysis, momentum indicators, and volume confirmation into a single, easy-to-read signal.
**Best Used For:** Swing trading on 15m, 1H, and 4H timeframes in crypto, forex, and stocks.
---
## Key Features
### 🎯 Golden Zone Detection
Automatically identifies the optimal entry zone (0.5 - 0.786 Fibonacci retracement) where price is most likely to reverse and continue the trend.
### 📊 Buy/Sell Scoring (1-10)
A simplified signal table that scores setups from 1-10, telling you exactly when to buy or sell without needing to interpret multiple indicators.
### 📈 Multi-Timeframe Confluence
Filters trades to align with the higher timeframe trend (default: 4H), ensuring you only trade in the dominant direction.
### 🔍 Structure Detection (HH/HL/LH/LL)
Tracks market structure with Higher Highs, Higher Lows, Lower Highs, and Lower Lows to determine trend direction.
### 💧 Liquidity Sweep Detection
Identifies when price sweeps beyond the 0.886 level (stop-hunting zone) and reclaims the entry zone—a premium reversal signal.
### 📉 RSI Divergence Detection
Spots bullish and bearish divergences within the golden zone for additional confirmation.
### 🛡️ Dynamic Stop Loss
ATR-based stop loss that adjusts to current volatility, protecting you in both calm and volatile markets.
### 🎯 Smart Take Profit
Calculates TP based on your chosen entry point (FOMO, ENTRY, or Average) with customizable Risk:Reward targeting.
---
## How to Read the Signal Table
The table in the bottom-right corner gives you everything you need at a glance:
| Row | What It Shows |
|-----|---------------|
| **BUY/SELL + Score** | Direction and strength (1-10) |
| **Action** | 🚀 NOW (8+), ✓ READY (6-7), 👀 WATCH (4-5), ⏳ WAIT (<4) |
| **Zone** | Whether price is IN the golden zone or waiting |
| **Entry / TP / SL** | Your exact trade levels |
| **R:R** | Risk-to-Reward ratio with quality indicator |
### Score Breakdown
| Score | Meaning | Action |
|-------|---------|--------|
| **8-10** | High conviction setup | Enter on next candle close |
| **6-7** | Good setup | Enter with confirmation candle |
| **4-5** | Possible setup | Wait for more confluence |
| **1-3** | Weak/No setup | Skip this trade |
---
## How to Use: Step-by-Step
### Step 1: Check the Trend Direction
Look at the **Structure** in the info display:
- **BULLISH** (HH + HL pattern) → Only look for BUY signals
- **BEARISH** (LL + LH pattern) → Only look for SELL signals
### Step 2: Wait for Price to Enter the Golden Zone
The golden zone is highlighted between the **FOMO (0.618)** and **ENTRY (0.786)** levels. The table will show "✓ IN ZONE" when price reaches this area.
### Step 3: Check Your Score
Wait for the Buy/Sell score to reach **6 or higher** before considering an entry. Higher scores = higher probability.
### Step 4: Look for Confirmation
The best entries have multiple confirmations:
- ✅ Score 6+
- ✅ In Golden Zone
- ✅ Stochastic oversold/overbought
- ✅ RSI Divergence (DIV label)
- ✅ Liquidity Sweep (LIQ label) — *Premium signal*
- ✅ Bullish/Bearish candle pattern
### Step 5: Execute the Trade
Use the levels shown on the chart and in the table:
- **Entry:** FOMO (aggressive) or ENTRY (conservative)
- **Stop Loss:** Below/above the SL line (red)
- **Take Profit:** At the TP line (green)
---
## Chart Labels Explained
| Label | Color | Meaning |
|-------|-------|---------|
| **FOMO: ** | Green | 0.618 Fib - Aggressive entry level |
| **ENTRY: ** | Yellow (Bold) | 0.786 Fib - Conservative entry level |
| **LIQ: ** | Red | 0.886 Fib - Liquidity/stop-hunt zone |
| **TP: ** | Green | Take Profit target |
| **SL: ** | Red (Bold) | Stop Loss level |
| **R:R ** | Green/Orange | Risk-to-Reward ratio |
| **HH/HL/LH/LL** | Various | Structure swing labels |
| **DIV** | Lime/Pink | RSI Divergence detected |
| **LIQ** (arrow) | Lime/Red | Liquidity sweep signal |
| **AE** | Green/Red | Williams Vix Fix Aggressive Entry |
| **B/S** | Green/Red | Buy/Sell signal with score |
---
## Recommended Settings
### For Crypto (BTC, ETH, Altcoins)
- **Timeframe:** 1H or 4H
- **HTF:** 4H or Daily
- **Use Logarithmic Fibs:** ✅ ON
- **TP R:R Target:** 2.0 - 3.0
### For Forex
- **Timeframe:** 15m or 1H
- **HTF:** 4H
- **Use Logarithmic Fibs:** ❌ OFF
- **TP R:R Target:** 1.5 - 2.0
### For Stocks
- **Timeframe:** 1H or Daily
- **HTF:** Daily or Weekly
- **Use Logarithmic Fibs:** ✅ ON
- **TP R:R Target:** 2.0
---
## Settings Reference
### Structure (ZigZag)
- **Left Bars:** Lookback period for pivot detection (default: 10)
- **Right Bars:** Confirmation bars (default: 2)
- **Show Swing Labels:** Display HH/HL/LH/LL markers
### Multi-Timeframe Confluence
- **Enable MTF Filter:** Only trade when aligned with HTF trend
- **Higher Timeframe:** The timeframe to check trend (default: 4H)
### ADX Trend Strength
- **Enable ADX Filter:** Filter out choppy/ranging markets
- **ADX Threshold:** Minimum ADX value for trend confirmation (default: 20)
### Auto Fib Settings
- **Use Logarithmic Fibs:** Better for large % moves (crypto/stocks)
- **Fib Length:** How far the fib lines extend
### Split-Entry Trade Planner
- **Entry 1 Ratio:** FOMO level (default: 0.618)
- **Entry 2 Ratio:** ENTRY level (default: 0.786)
- **TP Calculation Mode:** Base TP on ENTRY, FOMO, or Average
- **TP R:R Target:** Your desired risk-to-reward ratio
- **Use ATR-Based Dynamic SL:** Volatility-adjusted stop loss
- **SL ATR Multiplier:** How many ATRs below entry for SL
### Williams Vix Fix
- **Show Bullish/Bearish AE:** Aggressive entry signals based on volatility extremes
- **Only Show in Golden Zone:** Filter VixFix signals to golden zone only
---
## Pro Tips
### 1. The Liquidity Sweep is Gold
When you see the **LIQ** arrow after price wicks below 0.886 and reclaims 0.786, this is often the best entry. Stops have been hunted, weak hands are out, and smart money is entering.
### 2. Don't Fight the HTF Trend
If the 4H is bearish, don't take long signals on the 15m just because the score is high. Always align with the bigger picture.
### 3. Wait for "IN ZONE"
Patience pays. The best setups come when price actually pulls back to the golden zone. Chasing breakouts leads to poor R:R.
### 4. Score 6+ is the Minimum
Scores of 4-5 can work, but your win rate will be significantly higher waiting for 6+. Scores of 8+ are rare but highly reliable.
### 5. Use Multiple Timeframes
Check the setup on your trading timeframe AND one timeframe higher. If both show bullish structure with good scores, confidence is higher.
### 6. Respect the Stop Loss
The SL is placed below the liquidity zone for a reason. If price closes below it, the setup is invalidated. Don't move your stop.
---
## Alerts Available
- **High Confluence Long/Short** — When score reaches your threshold
- **Bullish/Bearish Liquidity Sweep** — Premium reversal signal
- **RSI Divergence Detected** — Divergence in golden zone
- **Williams Vix Fix AE** — Aggressive entry signal
---
## Credits
Created by **Cosmic Crypto**
Combines concepts from:
- Fibonacci Retracement Trading
- Smart Money Concepts (Liquidity Sweeps)
- Williams Vix Fix
- Multi-Timeframe Analysis
- Stochastic RSI
- ADX Trend Strength
---
*Trade responsibly. Past performance does not guarantee future results. Always use proper risk management.*
Trading Monster - XAUUSD Trend EngineTrading Monster – XAUUSD Trend Engine is a clean, professional trend-following visual tool designed exclusively for Gold (XAUUSD).
The indicator focuses on identifying dominant market direction and keeping traders away from counter-trend trades. It is built to reduce noise and improve visual clarity during high-volatility sessions.
This tool is best suited for:
• Intraday and swing traders
• Trend continuation setups
• Traders who avoid counter-trend entries
Designed for clarity. Built for discipline.
This tool is best used with Trading Monster - XAUUSD Trend Validator
Trading Monster – XAUUSD Trend Validator
Trading Monster – XAUUSD Trend Validator is a focused confirmation tool designed to work alongside the Trading Monster – XAUUSD Trend Engine for Gold (XAUUSD).
The indicator helps traders validate whether market conditions are aligned with the prevailing trend, reducing the chances of entering during weak, choppy, or counter-trend phases. It acts as an additional layer of discipline by confirming trend strength before execution.
When used together with the Trend Engine, the Validator assists traders in filtering low-quality setups and staying aligned with higher-probability trend conditions.
This tool is best suited for:
• Traders seeking confirmation before entry
• Trend-aligned trade filtering
• Avoiding counter-trend and sideways market conditions
Designed for confirmation. Built for consistency.
Fractal Reversal StageFractal Reversal Stage — это продвинутый осцилляторный индикатор разворота, который объединяет классический анализ RSI на старших таймфреймах с уникальным паттерном "фрактального поглощения" на рабочих графиках.
Multi-Timeframe RSI Filter: Индикатор отслеживает состояние перекупленности/перепроданности на старшем ТФ (например, 15м), определяя глобальную зону интереса.
Trend Inertia: Алгоритм проверяет наличие устойчивой инерции тренда (Heikin-Ashi) перед поиском точки входа.
Как работает сигнал: Индикатор одновременно анализирует стандартные японские свечи и сглаженные свечи Heikin-Ashi. Сигнал появляется в момент слома текущего тренда, когда подтверждается резкий импульс в обратную сторону. Это позволяет зайти в сделку в самой ранней точке нового движения.
Noise Filter: Встроенный фильтр размера тела свечи исключает ложные сигналы на низковолатильном рынке.
Как использовать:
Зеленая зона / BUY: Ищите сигнал, когда фон окрашен в зеленый цвет
Красная зона / SELL: Ищите сигнал, когда фон окрашен в красный цвет
Линия тренда: Визуализирует уровни стопа или поддержки/сопротивления после подтверждения разворота. Рекомендуется использовать усреднение на коррекциях против тренда с индикациями (зоны перекупленности/перепроданности выглядят как вертикальные линии). Выход осуществляется по зонам противоположному цвету тренда - Покупка - красная зона, Продажа зеленая. Либо цвет зоны+противоположный сигнал.
Fractal Reversal Stage is a professional reversal tool designed to catch trend exhaustion points using MTF RSI filtering and a unique fractal engulfing pattern.
Multi-Timeframe RSI Filter: The indicator monitors Overbought/Oversold conditions on a higher timeframe (e.g., 15m) to identify the global "Zone of Interest."
Trend Inertia: The algorithm verifies the presence of sustained trend momentum (using Heikin-Ashi) before searching for an entry.
Signal Mechanics: The indicator performs a dual analysis of standard Japanese candlesticks and smoothed Heikin-Ashi candles. A signal is triggered at the moment of a trend break, confirmed by a sharp counter-trend impulse. This allows you to enter the trade at the earliest possible stage of a new move.
Noise Filter: A built-in candle body size filter eliminates false signals during low-volatility market conditions.
How to Use:
Green Zone / BUY: Look for a signal when the background is highlighted in green.
Red Zone / SELL: Look for a signal when the background is highlighted in red.
Trend Line: Visualizes stop-loss levels or support/resistance after the reversal is confirmed.
Strategy: It is recommended to use averaging (DCA) during corrections against the signal using the Overbought/Oversold indications (marked as vertical lines).
Exit Rules: 1. For a Buy position — exit in the Red Zone. 2. For a Sell position — exit in the Green Zone. 3. Alternatively, exit when a Zone Color change is confirmed by an opposite signal.
Boyen_Clean Historical Key Levels (WO, MO, YO & Mon)Define historical Key Level Weekly Open, Montly Open and Yearly Open
Additional with current Monday low & Monday high level
Key Levels - BlackDelta.ioPivots Point of high interest these line are not ordinary lines they are indicating HTF Weekly levels, Base you trading ideas around these Key Levels to gain higher probability setup's once price touches one these Key Levels get ready for a big move to continuation or a reversal, pair it with your other confluences to get more edge in the market.
if this indicator helped you leave a comment below :)
@BlackDelta_
Boyen_Clean Historical Key Levels (WO, MO, & YO)Define historical Key Level Weekly Open, Montly Open and Yearly Open
NIFTY Buy Sell IndicatorThis indicator is best suited for intraday trading on Nifty with 5 minutes timeframe.
Butterworth Cloud + Squeeze (Upper)The Butterworth Squeeze Cloud – Simple Guide
The Butterworth Cloud is a volatility + trend structure indicator that shows when the market is contracting (coiling) or expanding (breaking out) using a smoothed trend line and dynamic volatility bands.
It is designed to be easy to read visually while giving very advanced information about volatility behavior.
1. What the Butterworth Cloud Actually Measures
The indicator builds three things:
1. A smoothed trend line (Butterworth line)
This filters out noise better than a normal moving average.
When price is above it → bullish bias
When price is below it → bearish bias
When it is flat → ranging market
2. Volatility bands around the trend line
These form the “cloud.”
The cloud expands or contracts depending on volatility.
3. Color signals that show what volatility is doing
Cyan → Contracting (squeezing)
Market energy is tightening. Moves become more likely.
Magenta → Expanding (releasing)
Market is breaking out or trending.
Gray → Neutral
No strong compression or expansion.
This gives a visual map of volatility shifts, similar in concept to Bollinger squeezes, but much smoother and more reactive.
2. How to Read the Cloud at a Glance
A. Contracting Cloud (Cyan)
This signals volatility compression:
Market is coiling
Price is getting tighter around the trend line
Breakouts often follow contraction periods
The longer the cloud stays cyan, the larger the potential move afterward.
B. Expanding Cloud (Magenta)
This signals volatility expansion:
Trend activity increases
Strong directional move is underway
Expansion often begins right after a squeeze ends
Great for:
Trend continuation entries
Avoiding counter-trend trades into strength
C. Neutral Cloud (Gray)
Mixed or unstable volatility.
Often a transition zone, early chop, or slowdown.
3. How Traders Use the Butterworth Cloud
1. Spotting Squeeze → Breakout Cycles
This is the most common use.
Look for cyan contraction
Then wait for a switch to magenta
Combine with price breaking above/below structure
This setup often predicts high-momentum moves.
2. Confirming Trend Strength
Longs are higher probability when cloud is magenta & expanding upward
Shorts are higher probability when cloud is magenta & expanding downward
Avoid trading against expansion unless mean-reverting intentionally
3. Avoiding Chop
If the cloud flips:
cyan → magenta → cyan → magenta
within a short period, the market is choppy.
This helps you stand aside and avoid unnecessary losses.
4. Using the Bands for Targets
The Butterworth Cloud also includes:
Upper band
Lower band
Midline (the Butter line)
Common usage:
Long take profit at upper band
Short take profit at lower band
Mean reversion take profit at midline
Because the bands track volatility, these targets adapt to market conditions.
4. Why Use Butterworth Instead of Standard Indicators?
The Butterworth Cloud has several advantages:
1. Noise filtering
It reduces random spikes better than an EMA or SMA.
2. Cleaner squeeze detection
Unlike Bollinger Bands, it avoids overreacting to single candles.
3. Earlier expansion recognition
Especially in “EARLY” mode, it detects momentum bursts as soon as they start.
4. Works on any timeframe including seconds
Crypto scalpers especially benefit from this.
Cyan = Squeeze (volatility contracting) → market building pressure
Magenta = Expansion (volatility releasing) → breakout or trend
Use cyan → magenta transitions to detect new moves
Use bands for natural take-profits (upper for longs, lower for shorts, midline for reversions)
Works on all markets and timeframes
Very clean representation of volatility behavior
Indian Market Trend
# Indian Market Trend
## **Know The Trend BEFORE It Happens - Institutional-Grade Market Intelligence**
### **🎯 Why This Indicator is Different:**
Most indicators tell you what **already happened**. This institutional-grade tool tells you what's **about to happen** by analyzing the **synchronized behavior of 40 major Indian stocks** in real-time.
***
## **📊 THREE POWERFUL ANALYSIS TABLES**
### **1️⃣ CORRELATION ANALYSIS TABLE**
- **Real-time correlation** of 40 NSE stocks with your chart symbol
- **Implied Trend Calculation** - The secret sauce that shows market direction BEFORE price confirms
- **Positive Implied Trend** = Stocks moving UP together (Bullish Confirmation)
- **Negative Implied Trend** = Stocks moving DOWN together (Bearish Warning)
- Fully customizable: Choose which stocks to analyze and table position
### **2️⃣ MARKET REGIME ANALYSIS TABLE**
Institutional-grade regime detection across **4 major market conditions:**
- **🟢 GOLDILOCKS REGIME** - Perfect growth environment (Risk-On)
- **🟡 REFLATION REGIME** - Economic recovery phase (High Beta Rally)
- **🔴 INFLATION REGIME** - Defensive rotation (Protect Capital)
- **🔵 DEFLATION REGIME** - Risk-off environment (Safe Havens)
**Each regime shows:**
- Top 5 performing equity style factors
- Bottom 5 underperforming factors
- Probability score for each regime
- **RISK ON/RISK OFF** status with real-time calculation
### **3️⃣ TOP/BOTTOM PERFORMERS TABLE**
- **Real-time ranking** of best and worst performing stocks
- Adjustable display (5-20 stocks)
- Shows relative strength vs market average
- Perfect for stock selection and sector rotation
***
## **🚀 THE EDGE: IMPLIED CORRELATION INDICATOR**
### **This is where the magic happens:**
The **Implied Correlation Plot** combines:
1. **Correlation Strength** - How stocks move together
2. **KAMA Trend Analysis** - Institutional adaptive moving average
3. **Directional Bias** - Market sentiment calculation
### **How to Read It:**
✅ **POSITIVE VALUES (Green Bars)**
- Stocks are moving UP in sync
- Strong bullish momentum
- High confidence in uptrend continuation
- **ACTION: Stay long, add on dips**
❌ **NEGATIVE VALUES (Red Bars)**
- Stocks are moving DOWN together
- Strong bearish pressure
- High confidence in downtrend continuation
- **ACTION: Reduce exposure, wait for reversal**
⚪ **NEAR ZERO (Gray Bars)**
- Market is confused/consolidating
- Low directional conviction
- Wait for clarity
- **ACTION: No new positions, tight stops**
### **The Institutional Advantage:**
When you see **strong green bars forming** → Market is building bullish pressure **BEFORE** your main chart shows a clear breakout!
When you see **strong red bars forming** → Market is building bearish pressure **BEFORE** your main chart breaks down!
**This is your early warning system!** 🎯
***
## **🎛️ FULLY CUSTOMIZABLE**
### **Table Controls:**
- ✅ Enable/Disable each table independently
- 📍 Position tables anywhere (Top/Middle/Bottom × Left/Center/Right)
- 📏 Adjustable text size for all displays
- 🎨 Clean, professional interface
### **Stock Selection:**
- **40 Pre-loaded NSE stocks** (Nifty 50 constituents)
- Fully editable - Replace ANY stock with your preferred symbols
- Works with NSE, BSE, or any exchange
- Perfect for sectoral analysis
### **Technical Parameters:**
- **Correlation Length** (Default: 14 days)
- **ROC Period** (Default: 14 days)
- **KAMA Settings** (Fast: 7, Slow: 19, ER: 8)
- **Display Options** (Number of stocks in each table)
***
## **📈 TRADING APPLICATIONS**
### **For Day Traders:**
- Early trend detection before price confirms
- Market regime identification for strategy selection
- Real-time sector rotation signals
### **For Swing Traders:**
- Multi-day trend confirmation
- Risk-on/Risk-off regime detection
- Top performer identification for swing entries
### **For Position Traders:**
- Long-term market regime analysis
- Portfolio rotation based on market conditions
- Macro trend confirmation
### **For Portfolio Managers:**
- Institutional-grade market regime framework
- 40-stock basket analysis
- Systematic rotation signals
***
## **🏆 KEY FEATURES**
✅ **40 Major Indian Stocks** - Comprehensive market coverage
✅ **3 Analysis Tables** - Correlation, Regime, Performance
✅ **Implied Correlation Plot** - Leading trend indicator
✅ **KAMA Trend Engine** - Adaptive institutional algorithm
✅ **Regime Detection** - Goldilocks/Reflation/Inflation/Deflation
✅ **Fully Customizable** - Every parameter adjustable
✅ **No Repainting** - Signals are final and reliable
✅ **Clean Interface** - Professional institutional design
✅ **Multi-Timeframe** - Works on Daily charts (recommended)
***
## **⚡ QUICK START GUIDE**
1. **Add indicator to Daily chart** of NSE:NIFTY or any Indian stock
2. **Enable all 3 tables** from "Table Controls" section (default: ON)
3. **Watch Implied Correlation plot** in indicator window:
- Green bars = Bullish strength building
- Red bars = Bearish pressure building
- Gray bars = Wait for clarity
4. **Check Market Regime Table** - Which regime has highest probability?
5. **Scan Top Performers Table** - Find strongest stocks for entries
6. **Cross-reference with your price action** - Confirm with chart patterns
***
## **🎓 INSTITUTIONAL METHODOLOGY**
This indicator uses the same frameworks employed by:
- Hedge funds for market regime detection
- Proprietary trading desks for correlation analysis
- Risk management teams for portfolio positioning
- Quantitative analysts for systematic signals
**The Normalized KAMA Oscillator** by IkkeOmar provides institutional-grade trend detection with adaptive smoothing that responds to market efficiency.
**The Implied Correlation Framework** measures market synchronization - when stocks move together with conviction, trends are more reliable and persistent.
***
## **💡 PRO TIPS**
1. **Best Results:** Use on Daily timeframe for most reliable signals
2. **Strong Signals:** Implied Correlation > 0.15 or < -0.15 = High conviction
3. **Regime Changes:** Watch for probability shifts between regimes
4. **Divergences:** If top performers weaken while index rises = Warning signal
5. **Confirmation:** Wait for 2-3 consecutive bars in same direction for stronger confidence
***
## **⚠️ RISK DISCLAIMER**
This indicator is a **decision support tool**, not financial advice. Always:
- Use proper risk management
- Combine with your own analysis
- Test on demo/paper trading first
- Never risk more than you can afford to lose
- Past performance doesn't guarantee future results
***
## **📞 SUPPORT & UPDATES**
- Regular updates with market condition changes
- Community feedback incorporated
- Bug fixes and optimizations
- Documentation and video tutorials (coming soon)
***
## **🌟 WHY TRADERS LOVE THIS INDICATOR**
✅ **"Finally see the market BEFORE it moves!"**
✅ **"Three tables give complete market picture"**
✅ **"Regime detection is game-changing"**
✅ **"Professional institutional tool for retail traders"**
✅ **"Clean, customizable, reliable"**
***
## **📊 INDICATOR SPECIFICATIONS**
- **Type:** Oscillator / Market Analysis
- **Overlay:** No (Separate pane)
- **Inputs:** 40 stock symbols + multiple parameters
- **Outputs:** 3 tables + 1 plot line
- **Repainting:** No
- **Alerts:** Compatible (can be added)
- **Multi-timeframe:** Yes (Daily recommended)
***
## **🎯 START TRADING WITH CONFIDENCE**
**Know the trend BEFORE the crowd!**
The market doesn't move in straight lines - it moves in **synchronized waves**. When you can measure that synchronization across 40 major stocks, you have an **institutional edge** that retail traders never see.
**Install now and experience the difference!** 🚀
***
**Tags:** #Indian #NSE #Nifty50 #Correlation #MarketRegime #TrendAnalysis #Institutional #KAMA #Performance #TopPerformers #RiskOn #RiskOff #Goldilocks #Reflation #ImpliedCorrelation
***
**Version:** 1.0
**Last Updated:** December 2025
**Compatible:** TradingView Pine Script v6
***
Feel free to ask questions in the comments! I actively respond to user feedback and continuously improve this indicator based on community needs.
**Happy Trading! 📈🎯**
***
MA Candle Color [TheScalpingAnt]MA Candle Color
OVERVIEW
MA Candle Color is a visual indicator that transforms your trading experience by providing instant, real-time feedback on price position relative to your chosen Moving Average.
What makes it unique?
• Real-time visual clarity: The current forming candle changes color dynamically based on its position relative to the MA
• Zero lag: Instant visual feedback as price moves
• Clean charts: Only the active candle is colored - no chart clutter
• Professional design: Sleek, minimalist approach that enhances decision-making
Perfect for:
• Day traders seeking instant trend confirmation
• Scalpers who need split-second decision support
• Swing traders monitoring trend alignment
• Any trader who values visual clarity and speed
CONCEPTS
The Power of Visual Trading
Traditional indicators require constant interpretation. MA Candle Color eliminates this cognitive load by providing instant visual feedback through intelligent candle coloring.
Core Principle
The indicator operates on a simple but powerful concept:
• Green Candle = Price is above the Moving Average (bullish territory)
• Red Candle = Price is below the Moving Average (bearish territory)
Why Only the Current Candle?
-Unlike other indicators that color all candles, MA Candle Color focuses exclusively on the NOW:
-Eliminates visual noise
-Keeps your focus on current market conditions
-Prevents analysis paralysis
-Maintains clean chart aesthetics
-The Moving Average Foundation
-Moving Averages are one of the most trusted tools in technical analysis. This indicator leverages reliability while adding a modern, intuitive visual layer.
FEATURES
Real-Time Dynamic Coloring
• Current candle changes color instantly as it forms
• Green when price crosses above MA
• Red when price crosses below MA
• Automatic color reset when candle closes
Precision Engineering
• Zero repainting - what you see is what you get
• Lightweight code - no performance impact
• Compatible with all timeframes and instruments
Full Color Customization
-Choose your own bullish color (default: vibrant green)
-Choose your own bearish color (default: professional red)
-Match your chart theme perfectly
-High visibility options for all screen types
-Clean Visual Design
-MA plotted as subtle gray line
-Works seamlessly with other indicators
CUSTOMIZATION
Complete Control Over Your Trading Experience
MA Length (Default: 8)
Adjust from 1 to any value
Shorter periods (5-20): Responsive, ideal for scalping/day trading
Medium periods (20-50): Balanced for swing trading
Longer periods (50-200): Trend following and position trading
MA Type (Default: EMA)
• SMA: Best for identifying major support/resistance levels, classic, smooth trend identification
• EMA: Ideal for fast-moving markets and quick trend changes, responsive to recent price action
• WMA: Great for balanced trend analysis, balanced approach with recent price emphasis
• VWMA: Perfect when volume analysis is crucial, incorporates volume for institutional insight
• HMA: Excellent for reducing noise in volatile markets, incorporates volume for institutional insight
Recommended Configurations
For Day Trading:
• MA Length: 8-13
• MA Type: EMA or HMA
• High contrast colors
For Swing Trading:
• MA Length: 21-50
• MA Type: EMA or SMA
• Professional, subtle colors
For Scalping:
• MA Length: 5-8
• MA Type: EMA or HMA
• Bright, high-visibility colors
USAGE
Getting Started (3 Simple Steps)
Step 1: Add to Chart
• Search "MA Candle Color" in TradingView indicators
• Click to add to your chart
• Indicator loads with optimized default settings
Step 2: Customize (Optional)
• Click the settings gear icon
• Adjust MA length to match your trading timeframe
• Select your preferred MA type
• Choose your custom colors
Step 3: Trade with Confidence
• Watch the current candle color in real-time
• Green = Bullish momentum (price above MA)
• Red = Bearish momentum (price below MA)
• Use as confirmation with your existing strategy
Trading Applications
Trend Confirmation
• Green candle confirms uptrend continuation
• Red candle confirms downtrend continuation
• Color changes signal potential trend shifts
Entry Timing
• Enter long when candle turns green with other confirmations
• Enter short when candle turns red with other confirmations
• Use as a filter to avoid counter-trend trades
Exit Signals
• Exit longs when candle turns red
• Exit shorts when candle turns green
• Protect profits by respecting color changes
Multi-Timeframe Analysis
• Use on higher timeframe for trend direction
• Use on lower timeframe for precise entries
• Align colors across timeframes for high-probability setups
Pro Tips
Combine with Support/Resistance: Use color changes at key levels for powerful signals
Volume Confirmation: Look for color changes with volume spikes for stronger moves
Multiple MAs: Add multiple instances with different lengths (e.g., 8 EMA, 21 EMA, 50 SMA)
Risk Management: Never trade on color alone - use proper stop losses and position sizing
CONCLUSION
Why MA Candle Color is Essential for Modern Traders?
In today's fast-paced markets, speed and clarity are everything. MA Candle Color delivers both by transforming complex Moving Average analysis into instant visual feedback.
Key Benefits Recap
-Faster Decision Making - No more mental calculations
-Reduced Errors - Visual clarity prevents mistakes
-Professional Appearance - Clean, distraction-free charts
-Universal Application - Works with any strategy or market
-Fully Customizable - Adapts to your exact needs
-Zero Repainting - Reliable, honest signals
-Lightweight - No performance impact
Who Benefits Most?
-Day Traders: Instant trend confirmation for quick entries/exits
-Scalpers: Split-second visual feedback for rapid trading
-Swing Traders: Clear trend alignment across timeframes
-Beginners: Simplified MA analysis without complexity
-Professionals: Clean visual layer for existing strategies
The Competitive Edge
While others are calculating price vs MA in their heads, you'll have instant visual confirmation. While they're second-guessing crossovers, you'll be executing with confidence. While their charts are cluttered with colored history, yours will be clean and focused on NOW.
Institutional Trap & Reversal [Premium]Retail traders often lose money because they chase "breakouts" that are actually Liquidity Traps set by institutional algorithms. This script is designed to solve that problem.
Unlike standard indicators that clutter your chart with lagging moving averages and noisy clouds, the Institutional Trap & Reversal runs a high-performance Background Algorithm to detect "Smart Money" activity. It keeps your chart 100% clean and only prints a signal when a high-probability reversal structure is confirmed.
How it Works (The Logic): The script utilizes a proprietary "Dual-Stage Verification" process to filter out false signals:
1. Liquidity Absorption: It detects specific candle geometries (Shadow-Excursion Ratios) where price aggressively breaks a level but fails to sustain momentum, trapping breakout traders.
2. Volumetric Pressure: It validates these traps using a relative volume anomaly detector to ensure institutions are active in the move.
3. Structural Delta: It analyses the net order-flow bias of the session (Displacement) to ensure the reversal aligns with the immediate market structure.
Key Premium Features:
a. Smart Resolution (Auto-Timeframe): The script automatically detects your chart timeframe and syncs with the correct Higher-Timeframe Trend (e.g., 5m Chart $\rightarrow$ 1H Trend). No manual adjustment needed.
b. Adaptive Baseline (KAMA): Uses a "Kaufman Adaptive" neural-smoothing algorithm to dynamically adjust trend filters based on market volatility, reducing noise during choppy conditions.
c. Institutional Visuals: Uses specific colour theory to reduce emotional trading errors:
Blue ⚡ (Demand): Institutional Accumulation Zone.
Orange ⚡ (Supply): Institutional Distribution Zone.
How to Use (Strategy) : This tool is designed as a "Setup Locator" with a built-in failure protocol. We recommend the Volume-Test Entry Method :
1. Wait for the Signal : Look for a Blue ⚡ (Buy Setup) or Orange ⚡ (Sell Setup).
2. Volume Validation (Crucial) : Do not enter immediately. Wait for the next candle to close with Lower Volume . This confirms that immediate pressure has paused.
3. Execution Protocols :
For a BUY Signal (Blue ⚡) :
a. Standard Entry : If price breaks the HIGH of the lower-volume candle, the trap is confirmed. Enter Long .
b. Failure Flip (Reversal) : If price instead breaks the LOW of the lower-volume candle, the Buy Trap has failed. Go Short immediately .
For a SELL Signal (Orange ⚡) :
a. Standard Entry : If price breaks the LOW of the lower-volume candle, the trap is confirmed. Enter Short .
b. Failure Flip (Reversal) : If price instead breaks the HIGH of the lower-volume candle, the Sell Trap has failed. Go Long immediately .
Why use the Failure Flip? A failed institutional trap often results in an explosive move in the opposite direction as trapped traders are forced to cover their positions.
4. Stop Loss : Place above/below the swing high/low of the setup structure.
Why is this Closed-Source? This script contains proprietary calculations for Volume Weighting and Adaptive Smoothing that protect the unique combination of filters used to generate these signals. It provides a professional-grade edge that standard open-source scripts cannot replicate.
Disclaimer: This tool is for educational analysis purposes only. Past performance does not guarantee future results.
Access & Updates: For access details, tutorials, and more information, please check the link in my TradingView Profile Bio or Signature below.
RSI + Volume reversal This indicator designed on RSI reversal concept...For a better understanding of the indicator, please watch the videos
HC HighCrew Intelligent RSI Scout EditionHC HighCrew — Intelligent RSI (Scout Edition) is a multi-timeframe RSI analysis tool designed to interpret momentum, pressure, and control, not generate trade signals.
This indicator evaluates RSI behavior across 1-minute, 5-minute, and 15-minute timeframes and organizes that information into a clear on-chart terminal that explains market context, including:
• Which side (buyers or sellers) currently has structural control
• Whether short-term RSI movement represents continuation, pullback, or early counter-move
• When momentum is probing, stabilizing, or escalating
• How RSI pressure is behaving relative to price movement
• Current market mode (scalp-only vs expansion conditions)
Rather than displaying multiple RSI lines without context, this script interprets RSI relationships between timeframes to help traders understand what the market is attempting to do, not just what has already happened.
Key Features
• Multi-Timeframe RSI State Snapshot (1m / 5m / 15m)
• Control Detection (Bull Control, Bear Control, or Neutral)
• Counter-Move Identification
• Early reversal attempts
• Contained pullbacks
• Escalating momentum shifts
• Volatility & Participation Awareness
• ATR expansion/contraction
• Volume context (normal vs elevated)
• Color-Coded RSI Visualization
• Highlights pressure shifts, momentum changes, and regime transitions
• On-Chart Terminal Output
• Designed for fast readability without clutter
What This Script Is — and Is Not
• ✅ A contextual RSI intelligence tool
• ✅ A decision-support system for reading momentum behavior
• ❌ Not a buy/sell signal generator
• ❌ Not a prediction or guarantee of market outcome
This indicator is intended to assist with market awareness, structure recognition, and short-term decision context, especially for active traders and scalpers who rely on RSI behavior and momentum flow.
🔎 Intended Use
Best suited for:
• Intraday traders
• Scalpers
• Traders who already understand RSI and want interpretation, not signals
Works on any market and timeframe, with emphasis on lower-timeframe execution context.
⚠️ Disclaimer
This script is provided for educational and informational purposes only.
It does not constitute financial advice, trading recommendations, or guarantees of performance.
Users are responsible for their own trading decisions and risk management.
Buddy Pro AnalystThe EMC Buddy indicator is worth adding to your TradingView setup because it simplifies complex analysis into clear, beginner-friendly visuals and guidance—helping you spot high-probability trades without overwhelming clutter.
Here's why:
Clean Trend & Momentum Insight — Bar colors instantly show trend changes (blue for bullish turns), while support/resistance lines from divergences highlight key levels—no messy overlays.
Strategy-Specific Modes — Switch between "Analyst" (simple overview) or "Bull/Bear Setups" (full trade zones with entry/TP/SL lines) to match your style.
Built-in Guidance — Text boxes provide actionable advice, explaining what to do next in plain language.
All-in-One Tool
Institutional Straddle Scanner - Customizable
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🎯 INSTITUTIONAL STRADDLE SCANNER - PROFESSIONAL EDITION
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Advanced Options Trading Indicator with Customizable Buy Call & Buy Put Signals
📊 OVERVIEW
The Institutional Straddle Scanner is a professional-grade indicator designed for options traders who want to identify high-probability directional opportunities in Call and Put options. Built on institutional trading criteria, this indicator detects early momentum before major moves occur, giving you an edge in the options market.
Unlike traditional indicators that wait for price to cross VWAP or other lagging signals, this scanner uses a multi-factor analysis system that detects volume imbalances, premium momentum, sentiment shifts, and value opportunities in real-time.
🔥 KEY FEATURES
✅ DIRECTIONAL BUY SIGNALS
• 🚀 BUY CALL Signal - Green triangle appears when bullish criteria align
• 🔻 BUY PUT Signal - Red triangle appears when bearish criteria align
• Confidence scoring system (40-100%) with color-coded strength
• Early detection mode - no need to wait for VWAP crossover
✅ STRADDLE MOVEMENT DETECTION
• Detects when both Call and Put premiums start moving together
• Ideal for volatility expansion plays and earnings trades
• Shows exact movement percentage on dashboard
• Adjustable sensitivity and lookback period
✅ FULLY CUSTOMIZABLE CRITERIA
Every signal parameter is adjustable through the indicator settings:
🔹 BUY CALL CRITERIA (6 Factors)
1. Call Volume Dominance - Call volume > Put volume threshold
2. Call Premium Momentum - Minimum % price movement required
3. Bullish Sentiment (PCR) - Put-Call Ratio threshold for bullish bias
4. Call Undervalued - Premium below moving average by %
5. Straddle Above VWAP - Optional trend confirmation (disable for early signals)
6. Call Volume Spike - Volume vs average threshold
🔹 BUY PUT CRITERIA (6 Factors)
1. Put Volume Dominance - Put volume > Call volume threshold
2. Put Premium Momentum - Minimum % price movement required
3. Bearish Sentiment (PCR) - Put-Call Ratio threshold for bearish bias
4. Put Undervalued - Premium below moving average by %
5. Straddle Below VWAP - Optional trend confirmation (disable for early signals)
6. Put Volume Spike - Volume vs average threshold
✅ COMPREHENSIVE DASHBOARD
• Active signal display with confidence level
• Call and Put signal strength meters
• Straddle movement indicator
• Opportunity scanner with 6-factor scoring
• Real-time premium tracking (Call, Put, Straddle)
• Volume analysis with spike detection
• PCR (Put-Call Ratio) sentiment gauge
• Fully adjustable position and size
✅ PROFESSIONAL ALERTS
• BUY CALL Signal alert
• BUY PUT Signal alert
• Straddle Movement alert
• Strong opportunity alert (75+ score)
• VWAP crossover alert
📈 HOW TO USE
1️⃣ SETUP
• Add indicator to your TradingView chart
• Input your Call and Put option symbols in settings
• Choose your preferred criteria and thresholds
• Set minimum confidence level (lower = more signals)
2️⃣ SIGNAL INTERPRETATION
🚀 BUY CALL appears when:
- Call volume dominates Put volume
- Call premium showing upward momentum
- Market sentiment is bullish (low PCR)
- Call premium undervalued vs moving average
- Other enabled criteria are met
🔻 BUY PUT appears when:
- Put volume dominates Call volume
- Put premium showing upward momentum
- Market sentiment is bearish (high PCR)
- Put premium undervalued vs moving average
- Other enabled criteria are met
3️⃣ CONFIDENCE LEVELS
• 80-100% = 🟢 High conviction trade
• 70-79% = 🟡 Good opportunity
• 60-69% = 🟠 Moderate confidence
• Below 60% = ⚪ Wait for better setup
4️⃣ STRATEGY RECOMMENDATIONS
For Early Signals (Aggressive):
→ Set minimum confidence: 50-60%
→ Disable VWAP criteria
→ Lower momentum threshold: 1-2%
→ Enable straddle movement: 2-3%
→ Results: More signals, earlier entries
For Balanced Trading:
→ Set minimum confidence: 60-70% (default)
→ Keep VWAP criteria disabled
→ Momentum threshold: 2-3%
→ Straddle movement: 3-5%
→ Results: Good balance of quality and quantity
For High Quality (Conservative):
→ Set minimum confidence: 75-80%
→ Enable VWAP criteria
→ Momentum threshold: 3-5%
→ All volume criteria enabled
→ Results: Fewer but higher quality signals
⚙️ CUSTOMIZATION GUIDE
All criteria can be toggled ON/OFF and adjusted:
📌 Volume Thresholds (1.0-5.0x)
Control how much volume dominance is required
📌 Momentum % (0.5-10%)
Set minimum premium price movement needed
📌 PCR Thresholds
Adjust sentiment levels for bullish/bearish bias
📌 Value % (0-10%)
Define how undervalued premiums should be
📌 Confidence Level (40-100%)
Higher = fewer but stronger signals
Lower = more signals for active trading
📌 DTE Range (Days to Expiry)
Filter signals by option expiration timeframe
💡 USE CASES
1. Earnings Volatility Trading
Enable straddle movement detection to catch vol expansion
2. Directional Options Trading
Use Call/Put signals for directional bias entries
3. Premium Selling Entry Timing
Inverse the signals - sell when premiums spike above value
4. Spread Trading
Use signal strength differential for bull/bear spread setups
5. Institutional Flow Following
Volume dominance criteria tracks smart money movement
📊 WHAT MAKES THIS UNIQUE
✓ First indicator combining straddle analysis with directional signals
✓ Every parameter is adjustable - adapt to your trading style
✓ Early signal detection - don't wait for lagging indicators
✓ Institutional criteria - volume, sentiment, value, momentum
✓ Built-in opportunity scanner for overall market assessment
✓ Professional dashboard with real-time metrics
✓ Works on any timeframe (5m, 15m, 1H, 1D)
✓ Suitable for both day trading and swing trading
🎯 BEST PRACTICES
1. Use 5-15 minute timeframes for intraday trading
2. Verify DTE is in optimal range (7-45 days)
3. Check overall opportunity score before entering
4. Wait for confidence ≥70% for best risk/reward
5. Monitor straddle movement for volatility plays
6. Use in conjunction with price action and support/resistance
7. Set alerts to catch signals in real-time
⚠️ IMPORTANT NOTES
• This indicator is designed for Indian options (NSE/NFO)
• You must input correct Call and Put option symbols
• Signals are based on historical patterns and probabilities
• Always use proper risk management and position sizing
• Past performance does not guarantee future results
• Suitable for experienced options traders
🔔 ALERTS SETUP
1. Click "Add Alert" on the indicator
2. Choose desired alert condition:
- BUY CALL Signal
- BUY PUT Signal
- Straddle Moving
- Strong Buy Signal
3. Set notification preferences
4. Alert will fire when conditions are met
📚 RECOMMENDED SETTINGS FOR NIFTY OPTIONS
Intraday Trading (5-15min):
→ Minimum Confidence: 65%
→ Momentum: 2-3%
→ Volume threshold: 1.5-2.0x
→ Straddle movement: 3%
Swing Trading (1H-1D):
→ Minimum Confidence: 70%
→ Momentum: 3-5%
→ Volume threshold: 2.0-2.5x
→ Straddle movement: 5%
🎨 VISUAL FEATURES
• Color-coded candles (Bull/Bear)
• VWAP line with dynamic coloring
• Triangle markers for Buy signals on chart
• Professional dashboard with 3 sections:
1. Trade Signals (top)
2. Opportunity Scanner (middle)
3. Straddle Tracker (bottom)
• Movable and resizable table
• Clean, institutional-style interface
💼 WHO IS THIS FOR?
✓ Options day traders
✓ Options swing traders
✓ Institutional traders
✓ Professional options desks
✓ Traders using technical + options analysis
✓ Volume and sentiment-based traders
✓ Risk-defined options strategies
🚀 GETTING STARTED
1. Add indicator to chart
2. Input your option symbols (Call and Put)
3. Start with default settings
4. Observe signals for 1-2 days
5. Adjust criteria based on your preference
6. Set up alerts
7. Trade with confidence!
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📧 FEEDBACK & SUPPORT
If you find this indicator valuable, please leave a comment and boost!
Your feedback helps improve future updates.
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⚖️ DISCLAIMER
This indicator is for educational and informational purposes only. It should not be considered financial advice. Options trading involves substantial risk of loss. Always conduct your own research and consult with licensed financial advisors before making trading decisions. The creator of this indicator is not responsible for any trading losses incurred from using this tool.
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📌 VERSION: 1.0
📅 RELEASE DATE: December 2025
🔧 PINE SCRIPT VERSION: 5
💻 COMPATIBLE: TradingView Premium/Pro/Pro+
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#Options #OptionsTrading #CallOptions #PutOptions #Straddle #NIFTY #BankNIFTY
#TechnicalAnalysis #VolumeAnalysis #InstitutionalTrading #ProfessionalTrading
#TradingSignals #OptionsScanner #PutCallRatio #PCR #VWAP #VolatilityTrading
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MSP Multi-TF Dashboard v4 EnhancedScan 4 Timeframes at Once for Trend, Momentum and Bias Alignment
This dashboard reads multiple timeframes simultaneously and scores each one for trend direction, RSI momentum, MACD confirmation, volume strength and ADX trend power. Instantly see if the market is aligned bullish, bearish or mixed.
What It Analyzes Per Timeframe:
- Trend: Price vs Fast EMA vs Slow EMA alignment
- RSI: Momentum above or below threshold
- MACD: Line vs Signal crossover direction
- Volume: Current vs 20-period average ratio
- ADX: Trend strength measurement
Dashboard Shows:
- Total bias score across all 4 TFs
- Individual trend, RSI, MACD, bias per TF
- Volume multiplier (1.2x means 20% above average)
- ADX strength values
- Alignment streak counter
- All-TF alignment status
Color Coded Cells:
- Green cells = Bullish signal
- Red cells = Bearish signal
- Gray cells = Neutral/mixed
- Brighter colors = Stronger signals
Chart Features:
- Background shading based on total bias
- BULL/BEAR markers when alignment triggers
- 4TF markers when all timeframes agree
- Customizable alert thresholds
Display Options:
- Full table with all metrics
- Compact mode for mobile
- Table position selector (any corner)
- Customizable colors and opacity
Best Used For:
- Multi-timeframe confluence trading
- Confirming trend direction before entry
- Avoiding trades against higher TF bias
- Finding high probability setups when all TFs align
Works on all markets and timeframes. Fully customizable settings.
Not financial advice. Always use proper risk management.
MSP Setup Scanner Bullish BearishIdentify High-Probability Trading Setups at a Glance
This indicator combines multiple technical factors into a single, easy-to-read score that helps you quickly identify bullish and bearish opportunities across any market.
What It Analyzes:
- Trend Direction: EMA 20/50/200 alignment and price position
- Momentum: RSI overbought/oversold levels with trend confirmation
- MACD: Crossovers and histogram direction
- Volume: Above-average volume for move confirmation
- Breakouts: New highs/lows detection
Mobile-Ready Design:
- Clean, compact table display optimized for mobile TradingView
- Color-coded bias indicator (Strong Bullish to Strong Bearish)
- Works perfectly on all screen sizes
Score System:
+40 to +100: Strong bullish setup
+1 to +39: Bullish bias
0: Neutral
-1 to -39: Bearish bias
-40 to -100: Strong bearish setup
Features:
- On-chart signals (Up Arrow Buy / Down Arrow Sell)
- Customizable alert conditions
- Works on all timeframes and instruments
- Lightweight and fast-loading
Best Used For:
- Swing trading confirmation
- Intraday momentum plays
- Screening watchlists for A+ setups
- Multi-timeframe confluence analysis
Not financial advice. Always use proper risk management.
SU Trend Filter Box-15min-SOLSU Trend Filter Box-15min-SOL,Within this strategy, you can configure various box range criteria, freely combine them, select the number of filters to activate, and it supports 12 different box filtering methods.
BTC Halving VWAP [Cycle Analysis]█ OVERVIEW
This indicator plots Anchored Volume Weighted Average Prices (VWAPs) from each Bitcoin halving date, revealing the "fair value" of each market cycle.
The key insight: When price closes below the current cycle's VWAP on the monthly chart (after 1+ year into the cycle), it historically signals the end of the bull market and continuation toward the previous halving's VWAP.
█ HALVING DATES
• H1: November 28, 2012 (Block 210,000)
• H2: July 9, 2016 (Block 420,000)
• H3: May 11, 2020 (Block 630,000)
• H4: April 19, 2024 (Block 840,000)
█ FEATURES
◽ Anchored VWAPs — VWAP lines calculated from each halving date
◽ Consolidation Bands — Adjustable percentage bands around each VWAP (default ±15%)
◽ Cycle Top Detection — Tracks the highest high before VWAP breakdown
◽ Breakdown Signals — Visual markers when price breaks below cycle VWAP (bearish confirmation)
◽ Interactive Dashboard — Shows cycle progress, VWAP levels, and historical comparison
◽ Alerts — Configurable alerts for VWAP crossovers and breakdowns
█ HOW TO USE
1. Apply to BTCUSD on the Monthly timeframe for best results
2. Watch the H4 VWAP (gold line) — this is the current cycle's fair value
3. When price is ABOVE the VWAP → Bullish bias
4. When price is BELOW the VWAP → Bearish bias, expect move to previous cycle VWAP
5. The ▼ signal marks confirmed cycle tops (VWAP breakdown after 1+ year)
█ DASHBOARD GUIDE
• Price — Current price and gain from halving
• Day — Days since halving and cycle progress %
• VWAP Levels — Current VWAP values with status (ABOVE/BELOW/CONSOL)
• Cycle Tops — Historical days to cycle top for H2 and H3
• Next Halving — Estimated date and countdown
█ SETTINGS
Display:
• Toggle dashboard, consolidation bands, vertical lines, cycle tops, breakdown signals
VWAPs:
• Show/hide individual halving VWAPs (H1-H4)
Settings:
• Dashboard text size
• Consolidation band percentage
• Cycle top label size
█ ALERTS
• VWAP Breakdown — Price breaks below any halving VWAP
• VWAP Reclaim — Price reclaims a halving VWAP
• Consolidation Zone — Price enters consolidation around VWAP
█ NOTES
• Best used on Monthly (1M) timeframe for cycle analysis
• Weekly timeframe also works for more granular view
• H1 VWAP disabled by default (requires data from 2012)
• Cycle top locks when price closes below VWAP after 365+ days into the cycle
Cosmic Emergence v1.3: Ontological Liquid (Hybrid)Overview
In the vast expanse of market chaos, where prices flicker like quantum particles in superposition, the Ontological Liquid emerges as a beacon of cosmic clarity. This indicator is not merely a tool—it's a philosophical lens, fusing quantum uncertainty, gravitational selection, and ontological probability into a dynamic "liquid" cloud that projects the market's existential state into the future.
Inspired by Heisenberg's uncertainty principle and general relativity, the Ontological Liquid models price as a conscious entity navigating through probabilistic fields. It reveals the market's "being" (Psi_U consciousness score) and gravitational pull (g_m vector), rendering a flowing, adaptive cloud that evolves with each bar—never breaking, always expanding into the unknown.
Key Features
Psi_U Consciousness Field: A weighted fusion of momentum (CCI), compression potential (Bollinger width inverse), and capital flow (CMF), normalized dynamically to the asset's history. Scores the market's "clarity" from Superposition (chaotic uncertainty) to Crystallized (defined trend).
Gravitational Vector (g_m): Log-damped gravity calculation incorporating mass density (volume/range), spacetime curvature (VWAP deviation), and volatility correlation. Dictates the cloud's directional drift—positive for emergent ascent, negative for entropic descent.
Liquid Projection Geometry: A seamless, unbreakable cloud using LineFill Technology. It features a dense "Core" (high probability) and an "Atmosphere" (outer bounds at Golden Ratio 1.618). The cloud expands conically into the future, with sinusoidal wave offsets tied to Psi_U—high uncertainty amplifies waves, crystallizing clarity smooths them.
Adaptive Visualization: Gradient colors shift with g_m intensity—Teal to Emerald for bullish emergence, Crimson to Maroon for bearish collapse. Past trails in subtle gray maintain ontological continuity.
Intellectual Panel: Real-time existential readout: Gravity (g_m) and Entity State (Crystallized / Fluid / Superposition), color-coded for intuitive grasp.
Philosophical Foundation
Markets are not random noise but emergent realities shaped by collective consciousness. The Ontological Liquid visualizes this as a probabilistic fluid:
Superposition (Psi_U < 30): Wide, wavy cloud. The market is in pure potential, birthing new realities. Wait.
Fluid (30-80): Adaptive flow. Uncertainty resolves, trends begin to form. Prepare.
Crystallized (80+): Narrow, directed cloud. The market's being is solidified, momentum is crystallized. Act.
This is beyond technical analysis; it's an ontological probe into the market's essence, where gravity selects possibilities from infinite chaos.
How to Trade (Ontological Strategy)
This indicator does not give simple signals; it reveals the environment.
Bullish Emergence:
Cloud Color: Shifts to Teal/Green.
State: Panel shows "Fluid" or "Crystallized".
Action: Look for Long entries when price is supported by the Core (Inner Cloud).
Bearish Collapse:
Cloud Color: Shifts to Red/Maroon.
State: Panel shows "Fluid" or "Crystallized".
Action: Look for Short entries when price is rejected by the Core.
The Void (Do Not Trade):
State: "Superposition".
Visual: The cloud is wide, wavy, and directionless.
Meaning: No ontological reality has formed yet. Trading here is gambling against chaos.
Disclaimer: This tool is for educational and analytical purposes only. It is not financial advice.
© MuratKavak | Idea Architect
Nau Pro CheckListMy strategy
1 : Preia lichiditate 1h si intra intrun fvg pe 1h
2 Inchide un fvg, deci formeaza un IFVG
3 Creaza un fvg + confluenta CISD 5 min
4 Entry pe IFVG sau FVG
5 SL deasupra FVGUL creat sau swingului
6 TP pe urmatorul Swing ( tre sa fie minim 2 RR)
Trading Monster - XAUUSD Trend ValidatorTrading Monster – XAUUSD Trend Validator is an invite-only confluence and market condition filter designed for intraday analysis of XAUUSD on the 15-minute timeframe.
This indicator does not generate trade entries by itself. Instead, it validates trade setups by analyzing trend alignment and market conditions, helping traders decide when to participate and when to stay out.
The Trend Validator is intended to be used alongside a primary signal or trend-following system to improve discipline and avoid unfavorable market phases.
How to Use
• Recommended symbol: XAUUSD
• Recommended timeframe: 15 minutes
• Use this indicator as a confirmation layer, not as a standalone signal
• If market conditions are unfavorable, traders are advised to wait or avoid entries
Important Notes
• This script is for educational and analytical purposes only
• It does not execute trades or provide financial advice
• All trading involves risk; users must apply proper risk management
• Past performance does not guarantee future results






















