Vietnam Asset Monitoring ToolVietNamese Asset Correlation Tracking Chart
This chart monitors the relationship between major asset classes which Vietnamese analyst should monitor:
Gold Price: Gold is currently in the spotlight as international trade tensions show no signs of easing.
U.S. Dollar Index (DXY): The strength of the U.S. dollar, a key indicator that has relative correlations with most asset classes.
VN30: Vietnam’s benchmark stock index, representing the top 30 leading listed companies.
VNREAL: The stock index tracking Vietnam’s real estate–related companies.
Hanoi Residential Property Prices: Apartment and landed house prices in Hanoi, compiled and aggregated by **VietRealty.Pro**
Development in progress..
Phân tích Xu hướng
ATR Deviation Sigmoid Oscillator# ATR Sigmoid Volatility Regime Oscillator
## What This Indicator Does
The **ATR Sigmoid Volatility Regime Oscillator** is a volatility-regime detection tool designed to answer a single, critical question:
> *Is the market currently in a low-volatility or high-volatility regime—relative to its own recent behavior?*
Instead of using raw volatility values, this indicator **contextualizes volatility** by comparing the current ATR (Average True Range) to its own historical baseline and then mapping that deviation into a bounded, interpretable scale.
---
## How It Works (Conceptual)
1. **ATR Calculation**
The indicator starts with the standard ATR, which measures market volatility without direction.
2. **Baseline via EMA**
An EMA of ATR is used as a dynamic volatility baseline. This adapts to changing market conditions instead of relying on static thresholds.
3. **Relative Deviation**
The difference between ATR and its EMA represents how "unusual" current volatility is relative to its recent history.
4. **Normalization**
This deviation is normalized using ATR’s own dispersion, ensuring comparability across assets and timeframes.
5. **Sigmoid Transformation (0–100)**
A sigmoid function maps the normalized value into a **bounded 0–100 oscillator**, producing:
* Stability at extremes
* Smooth regime transitions
* No unbounded spikes
---
## How to Read the Oscillator
* **Above 50 (Green)**
High-volatility regime. Momentum strategies, breakout logic, and wider risk parameters tend to perform better.
* **Below 50 (Red)**
Low-volatility regime. Mean-reversion, range trading, and tighter risk controls are generally more appropriate.
* **The 50 Level**
Acts as a *volatility regime boundary*, not a buy/sell signal.
This indicator is **not directional**. It is a *context filter*.
---
## What This Indicator Is Best Used For
* Enabling/disabling strategies based on volatility regime
* Filtering false signals in low-volatility environments
* Position sizing and stop-distance adaptation
* Multi-asset volatility comparison using a common scale
---
## What This Indicator Is NOT
* ❌ Not a buy or sell signal
* ❌ Not a trend indicator
* ❌ Not predictive on its own
It is designed to be used **in combination with price, trend, or momentum logic**.
---
## Disclaimer
This indicator is provided for **educational and informational purposes only**.
It does not constitute financial advice, investment recommendations, or an offer to buy or sell any financial instrument. Trading involves risk, and past performance does not guarantee future results.
You are solely responsible for any trading decisions you make using this tool.
---
## Like This Indicator?
If you find this volatility regime tool useful:
* ⭐ **Add it to your favorites**
* 💬 **Leave a comment or feedback** — suggestions are welcome
* 👤 **Follow for future updates and new quantitative tools**
Your support helps improve and refine this work.
---
*Designed with a quantitative, regime-based approach to market analysis.*
Edo Sentiment MapEdo Sentiment Map is a contextual analysis indicator designed to evaluate the internal state of the market based on price behavior, movement intensity and degree of extension.
This indicator does NOT:
• Generate buy or sell signals
• Provide entries or exits
• Predict future price direction
• Automate trading decisions
Its purpose is to describe the current market state, not to indicate what action to take.
────────────────────────
CORE IDEA
────────────────────────
Market movements do not evolve uniformly. There are phases in which price advances in an efficient and balanced manner, and others in which the movement becomes excessive, fragile or vulnerable to behavioral shifts.
Edo Sentiment Map is designed to identify and classify these movement states using a discrete, easy-to-interpret scale.
The terms used in the indicator (such as fear, greed or euphoria) should be understood as descriptive labels commonly used in financial analysis to describe market states, not as literal measurements of human emotions.
────────────────────────
CALCULATION BASIS (CONCEPTUAL EXPLANATION)
────────────────────────
The indicator is built around an internal continuous score that evaluates how price is moving relative to its recent environment.
At a conceptual level, this score combines:
• Net price displacement relative to a prior reference point
• Movement efficiency by comparing effective progress versus volatility
• Intensity and persistence of recent behavior
• Extension filters that penalize movements excessively far from recent highs or lows
• Contextual adjustments that smooth isolated readings and reduce unsustainable spikes
The objective of this process is not to forecast future price, but to describe the quality, pressure and stability of the current movement.
────────────────────────
STATE SCALE (-5 TO +5)
────────────────────────
The continuous score is classified into eleven discrete states ranging from -5 to +5.
Each level represents a market condition:
(+5) Extreme positive extension
(+4) High bullish extension
(+3) Dominant buying pressure
(+2) Stable positive movement
(+1) Weak positive pressure
(0) Neutral or balanced state
(-1) Weak negative pressure
(-2) Increasing downside risk
(-3) Dominant selling pressure
(-4) High bearish extension
(-5) Extreme negative extension
The descriptions associated with certain levels (such as “Take profits” or “Potential entry”) are contextual warnings about areas of possible excess or vulnerability in the movement, not operational instructions or trading recommendations.
────────────────────────
VISUAL REPRESENTATION
────────────────────────
The states are applied directly to price candles through a color map.
• Warm colors indicate positive pressure and bullish extension
• Cool colors indicate negative pressure and bearish extension
• Neutral colors indicate balance or indecision
Optionally, numeric labels and explanatory tooltips can be displayed to support interpretation and historical study of the indicator.
The tooltips expand upon the brief descriptions shown in the legend, providing additional contextual explanations of each numeric level and the market conditions it represents.
All visual elements should be interpreted as contextual information, not as trading signals.
────────────────────────
CONFIGURATION PHILOSOPHY
────────────────────────
The core logic of the indicator is intentionally protected.
Users can only:
• Enable or disable candle coloring
• Show or hide labels and tooltips
• Show or hide the explanatory legend
This approach ensures consistent readings and prevents configurations that could distort market state interpretation.
────────────────────────
FINAL NOTE
────────────────────────
Edo Sentiment Map is designed to describe the state of the market at any given moment, not to automate decisions or replace trader judgment.
Its function is to provide visual and structural context regarding movement pressure and extension.
Trading Ocean Forex B/S Premium🌊 TRADING OCEAN FOREX V6 - PREMIUM EDITION
The ultimate all-in-one trading companion designed for serious traders who want clean signals, multi-timeframe confluence, and institutional-level zone analysis.
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
✨ KEY FEATURES
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
📢 SMART BUY/SELL SIGNALS
• Proprietary signal algorithm with multiple filters
• Clean, non-cluttering signal markers (▲ ▼)
• Built-in noise reduction for quality entries
• Session-based filtering for optimal trading hours
📊 MULTI-TIMEFRAME STRUCTURE TABLE
• Real-time analysis across 4 timeframes: 15m, 30m, 1H, 4H
• Identifies market structure: Higher Highs, Higher Lows, Lower Highs, Lower Lows
• Shows trend direction for each timeframe (Bullish/Bearish/Ranging)
• Current stage detection: Impulse 🚀, Pullback 🔄, or Reversal ⚠️
• Instant bias summary showing alignment
🏦 SUPPLY & DEMAND ZONES
• Auto-detected institutional buying & selling zones
• Touch counter showing zone strength (⚡1, ⚡2, etc.)
• Smart visibility showing only nearest relevant zones
• Auto-cleanup of broken or exhausted zones
🎯 ACTION PANEL
Instant trade recommendations when signals appear:
• ✅ HIGH CONFIDENCE → Strong setup, consider taking
• ⚠️ PULLBACK ZONE → Good setup, wait for confirmation
• 🔶 MIXED SIGNALS → Risky, reduce position size
• ❌ COUNTER TREND → Against major trend, consider skipping
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
🎯 HOW TO USE
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
1️⃣ Wait for a BUY (▲) or SELL (▼) signal to appear
2️⃣ Check the Action Panel for instant recommendation
3️⃣ Verify confluence with the Structure Table:
• For LONGS: Look for majority bullish timeframes
• For SHORTS: Look for majority bearish timeframes
4️⃣ Note nearby Supply/Demand zones for TP/SL levels
5️⃣ Execute or skip based on overall confluence
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
🟢 IDEAL LONG SETUP
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
• BUY signal appears
• Action Panel: "HIGH CONFIDENCE" or "PULLBACK"
• Structure Table: 3-4 timeframes bullish
• Price at or near a Demand zone
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
🔴 IDEAL SHORT SETUP
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
• SELL signal appears
• Action Panel: "HIGH CONFIDENCE" or "PULLBACK"
• Structure Table: 3-4 timeframes bearish
• Price at or near a Supply zone
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
⚙️ CUSTOMIZATION
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
• Trading session times (Morning/Evening)
• EMA display settings
• Signal sensitivity filters
• Structure table position & visibility
• Action panel toggle
• Supply/Demand zone appearance
• Zone visibility count
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
📈 BEST PRACTICES
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
✅ RECOMMENDED:
• Trade in direction of 4H trend
• Wait for pullback entries when HTF aligned
• Use S/D zones for take-profit placement
• Trade during configured session hours
• Combine with your price action skills
⚠️ AVOID:
• Trading against 4H trend direction
• Entering on MIXED or COUNTER signals blindly
• Ignoring the multi-timeframe table
• Trading outside active sessions
• Over-leveraging on low-confidence setups
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
💡 WORKS BEST ON
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
• Forex pairs (majors & crosses)
• Crypto (BTC, ETH, etc.)
• Timeframes: 5m, 15m, 30m, 1H
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
⚠️ RISK DISCLAIMER
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
This indicator is a decision-support tool, not financial advice. No indicator guarantees profits. Always:
• Use proper risk management (1-2% per trade)
• Set stop losses on every trade
• Backtest before live trading
• Never risk more than you can afford to lose
Past performance does not guarantee future results.
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
💬 SUPPORT & FEEDBACK
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Found this indicator helpful? Please:
⭐ Leave a like and follow for updates
💬 Comment your results and feedback
📢 Share with fellow traders
Your feedback helps improve future versions!
Happy Trading! 🌊📈🚀
HOANO [B2]Link indicator :https://t.me/hoanoalgo
The HOANO indicator is a combination with the HOANO A.I PRO indicator.
In the HOANO indicator, the HOANO A.I PRO indicator remains unchanged, including all 3 functions:
AI.1, AI.2, AI.3,
along with TP and SL labels, which are displayed to provide a clearer overall view.
In the HOANO indicator, it is different from the previous HOANO indicator.
Many features of the original HOANO indicator have been removed, leaving only:
the dashboard panel, and
the trend lines for display purposes.
👉 Note: The previous version of the HOANO indicator is still the most complete and fully featured version.
--------------------------------------
is a special, custom-designed indicator. It is a private (invite-only) indicator, created specifically for analysis and testing purposes.
This indicator is not intended for public use and requires the author’s permission before being applied to any chart. There are no guarantees or assurances of profit. The indicator is provided “as is” and is for educational and reference purposes only.
If you wish to be granted access, please contact the author directly.
Wyckoff Shelf Analyzer - Cause & Effect ProjectionsCalculate objective breakout targets from consolidation shelves using Wyckoff's cause → effect principles with volume validation.
Overview
Calculate objective breakout targets from consolidation shelves using Wyckoff's cause → effect methodology with volume validation. This indicator helps traders establish realistic expectations BEFORE price breaks out.
The Principle
" The effect (price move) is proportional to the cause (accumulation/distribution) " - Richard D. Wyckoff
The indicator measures:
Range of consolidation (compression)
Time spent consolidating (duration)
Effort (volume confirmation)
Then projects three tiers of breakout targets in both directions.
How does it work?
1. Define your shelf
Count bars in your consolidation
Enter number in "Shelf Length (Bars)" setting
Indicator calculates high, low, and range automatically
2. Time Factor (Auto-Applied)
3-5 bars -> 1.0× multiplier
6-10 bars -> 1.25× multiplier
11-20 bars -> 1.5× multiplier
21+ bars -> 2.0× multiplier
3. Effort Validation
Volume relative to baseline average
>= 1.20 = Valid (sufficient conviction)
<= 1.20 = Invalid (warning signal)
4. Target Projections
T1 (Minimum): Range × Time Factor
T2 (Continuation): T1 × 1.6
T3 (Expansion): T1 × 2.4
How to use?
Step 1: Identify consolidation on your chart
Step 2: Count the bars from start to end
Step 3: Open settings -> Enter bar count
Step 4: Review targets and validation status
Step 5: Combine with market structure to determine direction
🎓 Best practices
For highest probability:
1. Only trade valid shelves (effort >= 1.20).
2. Confirm with market structure.
3. Use multi-timeframe alignment.
4. Focus on T1.
5. Scale out at multiple targets.
6. Let it detect on most recent bars.
7. Default settings have been backtested.
MA ATR RangeExponencial Moving average with 3 ATR ranges. It shows trend and overbought and oversold levels.
Edo ControlEdo Control – Market Context, State and Coherence Indicator
Edo Control is a market context and structural analysis indicator designed to help traders evaluate the quality, stability and coherence of market conditions before considering any trading decision.
The indicator does not generate buy or sell signals, does not provide entries or exits, does not predict price direction, and does not replace risk management or trader judgment.
Its purpose is to answer a question that comes before any system or setup:
Do current market conditions justify considering a trade at all?
────────────────────────
GENERAL CONCEPTUAL FRAMEWORK
────────────────────────
Edo Control evaluates the market as a dynamic system composed of:
• Relative price position
• Strength and expansion of the movement
• Internal behavior and transitions
• Coherence across multiple timeframes
These dimensions are analyzed together and represented visually as states, not trading signals.
────────────────────────
CONCEPTUAL CALCULATION BASIS (HIGH LEVEL)
────────────────────────
The indicator combines two main families of metrics:
1) A price positioning metric based on oscillator-type logic, evaluating where price is located within its operational range and relative to an internal equilibrium level.
2) A movement strength and expansion metric based on trend-type logic, measuring whether the current movement is gaining, maintaining or losing intensity.
Both dimensions are dynamically compared and integrated into a normalized score representing the structural quality of the movement, not future direction.
This continuous score is used to classify the market into contextual states that are then displayed through candles, heatmaps and multi-timeframe panels.
────────────────────────
INDICATOR COMPONENTS
────────────────────────
1) Contextual Candles (Control Candles)
Colored candles represent internal market states, not trading signals.
Each color encodes specific combinations of:
• Structural continuation
• Momentum expansion
• Movement degradation
• Transitional phases
• Internal behavioral changes
They allow traders to visually distinguish between stable structure, weakening structure and instability zones.
They do not indicate entries or exits, do not repaint, and are calculated using confirmed data only.
2) Internal State Heatmap
The heatmap represents the intensity, acceleration and internal health of the movement, not trading triggers.
Three display modes are available:
• Multicolor: shows gradual transitions between exhaustion, balance and acceleration.
• Bicolor: summarizes relative strength based on dominant directional context.
• Hybrid: simplifies the reading into healthy or warning states.
The heatmap should be interpreted as internal pressure, balance or exhaustion, never as an entry signal.
3) Integrated Multi-Timeframe Analysis
Edo Control applies the same conceptual framework across multiple timeframes simultaneously.
Each timeframe is represented by a normalized value, typically on a 0 to 1 scale, reflecting the structural quality of the movement on that timeframe.
These values allow traders to assess:
• Timeframe alignment
• Contextual conflicts
• Progressive transitions
• Structural slope and evolution
The goal is to avoid trading against dominant higher-timeframe conditions and to understand the broader market context before executing on lower timeframes.
4) Trading Profiles
The indicator includes predefined profiles for:
• Scalping
• Intraday trading
• Swing trading
• Long-term / position trading
Each profile internally adapts the multi-timeframe structure and contextual sensitivity to the selected trading horizon, without manual optimization or curve fitting.
5) Learning Mode
Edo Control includes an optional learning mode designed to support historical and educational analysis.
This mode allows users to:
• Visualize past states
• Display explanatory labels
• Enable descriptive tooltips
• Study contextual evolution across different market conditions
It can be enabled or disabled freely and does not alter the indicator’s core logic.
6) Modular System and Configuration
All visual components can be enabled or disabled independently:
• Contextual candles
• Heatmap
• Multi-timeframe panels
• Legends and guides
• Learning mode
Users may adjust visual parameters such as opacity, size and layout, while the core logic remains protected to ensure consistent readings and prevent misconfiguration.
────────────────────────
PROTECTED CODE AND JUSTIFICATION
────────────────────────
Edo Control is a closed-source indicator.
Code protection is required because its value lies in:
• The specific combination of metrics
• The normalization system
• The state classification logic
• Multi-timeframe coherence
• The resulting contextual interpretation
This description provides all necessary conceptual information to understand what the indicator does and how it should be interpreted, without exposing implementation details.
────────────────────────
FINAL NOTES
────────────────────────
• Edo Control does not issue trading signals
• No alerts are generated
• It does not replace risk management
• It is designed as a contextual and market quality pre-filter
Use Edo Control to decide WHEN to trade, not HOW to trade.
The final trading decision always remains with the trader.
SILVER (XAGUSD) Targets📌 AG Target – XAU-Based Silver Target Levels
AG Target is a ratio-based indicator designed to analyze Silver (XAGUSD) using the price of Gold (XAUUSD) as a reference.
The indicator projects dynamic target, support, and resistance levels on the silver chart by dividing the Gold price by historically significant XAU/XAG ratios.
🔍 How It Works
Retrieves XAUUSD (Gold spot price)
Divides it by predefined XAU/XAG ratio levels
Plots the resulting values directly on the XAGUSD chart
Fixed ratio levels used:
44.260
39.628
31.707
These ratios represent historically important zones in the Gold–Silver ratio.
🎨 Visual Logic
Green line → XAG price is above the level
Red line → XAG price is below the level
Line thickness increases with level importance
🚨 Alert System
The indicator includes individual alerts and one combined alert:
Separate alerts for each ratio level crossover
A single combined alert triggers when XAG price crosses any of the target levels
Alerts are triggered only on real cross events, avoiding repeated signals.
🏷️ Label Features
Automatic target labels on the last bar
Toggle labels on/off
Adjustable transparency, size, and horizontal offset
Labels display:
Current target price
Corresponding XAU/XAG ratio
🎯 Who Is This For?
Traders using the Gold–Silver ratio
Macro and ratio-based analysts
Medium to long-term silver traders
Users who prefer clean, objective price levels on their charts
⚠️ Disclaimer
This indicator is not financial advice.
It is designed as a ratio-based reference tool and should be used together with other technical or fundamental analysis methods.
JD Box Proကျွန်တော် JD Moon ပါ၊
ဒီ Box Indicator က Intraday Trader တွေအတွက် အချိန်ကုန်သက်သာအောင် တကူးတက ဆွဲစရာမလိုအောင် Price Action သမားတွေအတွက် အသုံးလိုတဲ့အရာမို့ ဖန်တီးထားတာပါ၊ အရမ်း ရိုးရှင်းပြီး အရမ်း အသုံးဝင်ပါတယ်။ တစ်ရက်အတွင်း စျေးနှုန်းအရွေ့ကို စောင့်ကြည့်ဖို့ပါ။ အထူးသဖြင့်ကျွန်တော့်အတွက် ဖန်တီးထားတာဖြစ်ပြီး လိုအပ်သူတွေ ကျွန်တော့်လို Chart တိုင်းမှာ လှိုင်းဆွဲဖို့ ငပျင်းလေးတွေ ယူသုံးနိုင်ပါတယ်။
Trading Ocean Forex V6 - Premium🌊 TRADING OCEAN FOREX V6 - PREMIUM EDITION (BTCUSD/XAUUSD)
The ultimate all-in-one trading companion designed for serious traders who want clean signals, multi-timeframe confluence, and institutional-level zone analysis.
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
✨ KEY FEATURES
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
📢 SMART BUY/SELL SIGNALS
• Proprietary signal algorithm with multiple filters
• Clean, non-cluttering signal markers (▲ ▼)
• Built-in noise reduction for quality entries
• Session-based filtering for optimal trading hours
📊 MULTI-TIMEFRAME STRUCTURE TABLE
• Real-time analysis across 4 timeframes: 15m, 30m, 1H, 4H
• Identifies market structure: Higher Highs, Higher Lows, Lower Highs, Lower Lows
• Shows trend direction for each timeframe (Bullish/Bearish/Ranging)
• Current stage detection: Impulse 🚀, Pullback 🔄, or Reversal ⚠️
• Instant bias summary showing alignment
🏦 SUPPLY & DEMAND ZONES
• Auto-detected institutional buying & selling zones
• Touch counter showing zone strength (⚡1, ⚡2, etc.)
• Smart visibility showing only nearest relevant zones
• Auto-cleanup of broken or exhausted zones
🎯 ACTION PANEL
Instant trade recommendations when signals appear:
• ✅ HIGH CONFIDENCE → Strong setup, consider taking
• ⚠️ PULLBACK ZONE → Good setup, wait for confirmation
• 🔶 MIXED SIGNALS → Risky, reduce position size
• ❌ COUNTER TREND → Against major trend, consider skipping
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
🎯 HOW TO USE
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
1️⃣ Wait for a BUY (▲) or SELL (▼) signal to appear
2️⃣ Check the Action Panel for instant recommendation
3️⃣ Verify confluence with the Structure Table:
• For LONGS: Look for majority bullish timeframes
• For SHORTS: Look for majority bearish timeframes
4️⃣ Note nearby Supply/Demand zones for TP/SL levels
5️⃣ Execute or skip based on overall confluence
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
🟢 IDEAL LONG SETUP
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
• BUY signal appears
• Action Panel: "HIGH CONFIDENCE" or "PULLBACK"
• Structure Table: 3-4 timeframes bullish
• Price at or near a Demand zone
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
🔴 IDEAL SHORT SETUP
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
• SELL signal appears
• Action Panel: "HIGH CONFIDENCE" or "PULLBACK"
• Structure Table: 3-4 timeframes bearish
• Price at or near a Supply zone
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
⚙️ CUSTOMIZATION
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
• Trading session times (Morning/Evening)
• EMA display settings
• Signal sensitivity filters
• Structure table position & visibility
• Action panel toggle
• Supply/Demand zone appearance
• Zone visibility count
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
📈 BEST PRACTICES
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
✅ RECOMMENDED:
• Trade in direction of 4H trend
• Wait for pullback entries when HTF aligned
• Use S/D zones for take-profit placement
• Trade during configured session hours
• Combine with your price action skills
⚠️ AVOID:
• Trading against 4H trend direction
• Entering on MIXED or COUNTER signals blindly
• Ignoring the multi-timeframe table
• Trading outside active sessions
• Over-leveraging on low-confidence setups
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
💡 WORKS BEST ON
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
• Forex pairs (majors & crosses)
• Crypto (BTC, ETH, etc.)
• Timeframes: 5m, 15m, 30m, 1H
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
⚠️ RISK DISCLAIMER
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
This indicator is a decision-support tool, not financial advice. No indicator guarantees profits. Always:
• Use proper risk management (1-2% per trade)
• Set stop losses on every trade
• Backtest before live trading
• Never risk more than you can afford to lose
Past performance does not guarantee future results.
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
💬 SUPPORT & FEEDBACK
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Found this indicator helpful? Please:
⭐ Leave a like and follow for updates
💬 Comment your results and feedback
📢 Share with fellow traders
Your feedback helps improve future versions!
Happy Trading! 🌊📈🚀
A+ Pullback & Continuation 3 ema pullback und continuation
signale buy sell nach pullback
ema müssen übereinander sein
buy sell signals after pullback
ema have to be clear
JD Moon - Intraday Box Multi-Colorကျွန်တော် JD Moon ပါ၊
ဒီ Box Indicator က Intraday Trader တွေအတွက် အချိန်ကုန်သက်သာအောင် တကူးတက ဆွဲစရာမလိုအောင် Price Action သမားတွေအတွက် အသုံးလိုတဲ့အရာမို့ ဖန်တီးထားတာပါ၊ အရမ်း ရိုးရှင်းပြီး အရမ်း အသုံးဝင်ပါတယ်။ တစ်ရက်အတွင်း စျေးနှုန်းအရွေ့ကို စောင့်ကြည့်ဖို့ပါ။ အထူးသဖြင့်ကျွန်တော့်အတွက် ဖန်တီးထားတာဖြစ်ပြီး လိုအပ်သူတွေ ကျွန်တော့်လို Chart တိုင်းမှာ လှိုင်းဆွဲဖို့ ငပျင်းလေးတွေ ယူသုံးနိုင်ပါတယ်။
Pivot Points Detector - ATR basedThis pivot points detector is a precision-tuned momentum and structural pivot detector designed specifically for high-frequency scalpers (like those trading ES or NQ on the 15-second timeframe).
By combining dynamic volatility filters with structural displacement requirements, it isolates high-conviction reversal points while filtering out the "noise" of lower-timeframe chop.
How It Works
This indicator utilizes a three-gate logic system to ensure that only the most significant market turns are highlighted:
Gate 1: The ATR Momentum Break
The system monitors an ATR (12 / 2.0) trailing stop. A potential pivot is only identified when the price successfully closes across this volatility line, proving that immediate momentum has shifted.
Gate 2: Absolute Structural Anchor
Once a trend change is triggered, the indicator performs a 60-bar retrospective scan (approximately 15 minutes of data) to identify the absolute Highest High or Lowest Low that initiated the move. This pins the marker to the "Source" of the trend rather than the signal bar itself.
Gate 3: The Persistence Proof (Faded vs. Solid)
To prevent "fake outs," the indicator uses a unique faded logic:
Faded Triangle: Appears instantly at the pivot source as a "potential" setup.
12-Tick Run: The triangle only turns Solid if the price travels 12 ticks from that absolute pivot without crossing back over the ATR trail.
Auto-Deletion: If the momentum fails and the ATR trail is breached before the 12-tick target is hit, the faded triangle is automatically wiped from the chart.
Key Features
Clean Visuals: Triangles are printed with a 2-tick offset from the candle wicks for maximum readability.
Label Memory Management: The script maintains a history of the last 200 triangles, ensuring performance stability during long trading sessions.
Fully Customizable: Users can adjust the ATR multiplier, the structural lookback window, the tick-confirmation target, and all visual colors directly from the settings menu.
Trend-Change Focus: Unlike standard Zig-Zags that repainting or mark every wiggle, this tool only prints a marker when a formal ATR trend flip occurs.
Best Use Case: This tool is built for the scalper who needs a reliable "Hard Level" for stop-loss management and re-entry identification. When a triangle turns Solid, it represents a verified structural floor or ceiling that has shown displacement strength.
SMA Dow-Flow MTF (SAXO Logical Alert)This script is an advanced MTF (multi-timeframe) monitor that combines the concepts of Dow Theory and SMA (Single Moving Average) to capture the moment when trends align across multiple timeframes. It is particularly focused on visualizing when lower timeframes synchronize with the direction of higher timeframes, without being distracted by short-term noise. 1. Trend Determination Mechanism (Core Logic): Rather than the usual simple determination of whether a price is above or below a moving average, this is based on updates of "low lows and highs." Pivot Detection: Points where the SMA moves in a "V" or "inverted V" shape are recorded as reversal candidates ($lastH$, $lastL$). Trend Reversal Conditions: Uptrend: When the price clearly breaks above the most recent SMA high ($lastH$). Downtrend: When the price clearly breaks below the most recent SMA low ($lastL$). 2. Indicator Features ① Sync Hierarchy: This script counts the degree to which the direction of each time period matches that of the higher time period, starting from the lower time period. The 5-minute time period forms a trend. The 15-minute time period follows the same direction as the 5-minute time period. The 1-hour time period follows the same direction as the 15-minute time period... (continues up to the daily time period). This ensures that an alert is sent out when the larger trend (daily or 4-hourly) swallows up the smaller trend (5-minute or 15-minute). ② Set Selection: You can switch between the "Yen Set (AUDJPY, EURJPY, etc.)" and the "Dollar Set (EURUSD, GBPUSD, etc.)." This allows you to grasp the strength or weakness of a specific currency (e.g., a weak yen or a strong dollar) at a glance.
This script's alert function does not simply sound when the trends match, but is designed to pinpoint the moment when the number of trend synchronizations increases (i.e., when momentum increases).
Below, we will explain in detail how it works and the meaning of the notifications.
1. Alert Conditions
An alert will only be triggered when all three of the following conditions are met.
Increase in Sync Count: For example, if only two time frames, the 5-minute and 15-minute ones, were aligned (Sync: 2), and the 1-hour one also aligns in the same direction (Sync: 3), the alert will be triggered.
Above the set minimum count (alert_min): The default setting is "3." In this case, a notification will be triggered the moment three, four, or five time frames are synchronized.
Selected Set Only: If the "Yen Set" is displayed, an alert will not be triggered even if a currency pair in the Dollar Set is synchronized.
2. How to Read the Alert Message
When you receive a notification, the following message will be displayed.
USDJPY: 4-Bar Synchronization (Upward)
USDJPY: A Currency Pair Gaining Momentum
4-Bar Synchronization: Indicates that the direction of the four timeframes (5-minute, 15-minute, 1-hour, and 4-hour) is consistent, starting with the lowest timeframe.
Upward/Downward: The direction of the synchronization.
このスクリプトは、「ダウ理論」と「移動平均線(SMA)」の考え方を組み合わせ、複数の時間足でトレンドが揃った瞬間を捉えるための高度なMTF(マルチタイムフレーム)モニターです。特に、短期的なノイズに惑わされず、上位足の方向に下位足が同期したタイミングを視覚化することに特化しています。1. トレンド判断の仕組み(コアロジック)通常の「移動平均線より上か下か」という単純な判定ではなく、「押し安値・戻り高値」の更新をベースにしています。ピボットの検知: SMAが「V字」または「逆V字」に動いた地点を、反転の候補($lastH$, $lastL$)として記録します。トレンド転換の条件:上昇トレンド: 価格が直近のSMA高値($lastH$)を明確に上抜けたとき。下落トレンド: 価格が直近のSMA安値($lastL$)を明確に下抜けたとき。2. インジケーターの特徴① 同期(Sync)の階層構造このスクリプトは、下位足から順に「どれだけ上位足と方向が一致しているか」をカウントします。5分足がトレンドを形成。15分足が5分足と同じ方向。1時間足が15分足と同じ方向……(日足まで続く)これにより、「大きな流れ(日足・4時間足)に、小さな流れ(5分・15分)が飲み込まれた瞬間」を逃さずアラート通知します。② セット選択機能「円セット(AUDJPY, EURJPYなど)」と「ドルセット(EURUSD, GBPUSDなど)」を切り替えて表示できます。これにより、特定の通貨の強弱(円安・ドル高など)を一目で把握できるのが強みです。
このスクリプトのアラート機能は、単に「トレンドが一致した」ときに鳴るのではなく、**「トレンドの同期数が増加した瞬間(=勢いが増した瞬間)」**をピンポイントで通知するように設計されています。
以下に、その仕組みと通知内容の意味を詳しく解説します。
1. アラートが発生する条件
アラートは、以下の3つの条件がすべて揃った時にのみ発信されます。
同期数(Sync Count)の増加: 例えば、それまで「5分足と15分足」の2つしか揃っていなかった(Sync: 2)のが、新しく「1時間足」も同じ方向に揃った(Sync: 3)という変化の瞬間に鳴ります。
設定した最小数以上 (alert_min): 初期設定では「3」になっています。この場合、3つ、4つ、または5つの時間足が同期した瞬間に通知が飛びます。
選択中のセットのみ: 「円セット」を表示している時は、ドルセットの通貨ペアが同期してもアラートは鳴りません。
2. アラートメッセージの読み方
通知が来ると、以下のようなメッセージが表示されます。
USDJPY: 4足同期 (上昇)
USDJPY: 勢いが出た通貨ペア
4足同期: 下位足から順に「5分・15分・1時間・4時間」の4つの時間足で方向が一致したことを示します。
上昇 / 下落: その同期している方向です。
TREND HOANOLink indicator : t.me
---------------------------------------------------
THE INDICATOR IS NAMED: "TREND HOANO"
Please note that this indicator is designed to follow the trend, market direction, and detect effective reversal points.
The indicator includes the following optional functions:
OPERATION MODE: It has 2 modes: "Mode 1" and "Mode 2"
If Mode 1 is selected: All indicators from HN1 to HN6, including all labels, will be fully displayed.
If Mode 2 is selected: Labels will only be displayed when the corresponding function is enabled in the INDICATOR section.
-------------------------------------------------------------
is a custom-built indicator developed by an individual. eloped exclusively for private (invite-only) use. It is designed specifically for analysis and testing purposes
This indicator is not intended for public distribution and may only be applied to charts with the author’s explicit permission. No guarantees or assurances of profit are provided. The indicator is offered “as is” and is intended solely for educational and reference purposes.
If you would like to request access, please contact the author directly
Supply Demand Zones ProSupply Demand Zones PRO
Version: 1.0
Built with: Pine Script v6
________________________________________
🧭 HOW TO USE Start Here
🧠 What it does default behavior
• ✅ Automatically identifies Supply & Demand zones on your chart
• ✅ Automatically ranks each zone from 0 to 10 higher = stronger
• ✅ Works across most TradingView symbols and timeframes with default settings
⚙️ Default settings recommended for most instruments
Use the default settings for:
• 💱 Forex
• 🪙 Crypto
• 📊 Indices
• 🛢️ Commodities
• 🏛️ Stocks
Defaults are tuned to provide a balanced mix of quality zones + clean charts.
🎯 How to trade with it high-level workflow
1. 🥇 Prioritize strong zones
o Focus on higher scores commonly 7–10 for best reversal potential.
2. 🔄 Wait for a reversal setup at the zone
o Example triggers: rejection wick, engulfing candle, strong reaction candle, structure shift.
3. ✅ Confirm with other indicators before entering
o Use confirmation tools (your choice), such as:
📈 Trend filter (MA / market structure)
🧪 Momentum (RSI / Stoch / MACD)
📉 Volume / volatility tools
o Then take BUY from demand or SELL from supply *only when confirmation aligns
🧩🖤 Executive Summary: PRO Features Overview
The Supply Demand Zones PRO indicator is a professional-grade tool built on the latest Pine Script v6, designed to automatically identify and score high-probability supply and demand zones.
It moves beyond simple zone plotting by incorporating a suite of advanced features that provide a deeper, more actionable market context. This helps traders filter out noise, focus on significant levels, and make more informed decisions.
The indicator is universally compatible and works seamlessly across all major asset classes and timeframes:
• Forex: EURUSD, GBPUSD, USDJPY
• Commodities: Gold/XAUUSD, Silver, Oil
• Indices: NQ, ES, DAX, FTSE
• Cryptocurrencies: Bitcoin, Ethereum, Altcoins
• Stocks: Individual equities
Most symbols available on TradingView are fully supported.
Notice on repainting 🕯️⬛
Active zones won’t repaint unless they are invalidated. Gray/Historic zones may repaint, and that’s fine—this script only displays the most recent and stronger historic zones (if historic zones are enabled).
________________________________________
⬛🛠️Key PRO Features Overview
⚙️ Feature 📌 Description
Zone Strength Ranking ||| Each zone is dynamically scored from 1–10 based on its age and number of retests. Fresher, less-tested zones are stronger, helping prioritize high-impact levels.
Real-Time Distance ||| Each active zone’s info label shows the exact distance (in pips) from current price to the zone edge for quick risk/opportunity assessment.
Trading Session Tracking ||| Zones are tagged by formation session (Asian / London / New York) for added context—high-volume session zones often matter more.
Automated Retest Markers ||| The script tracks retests and places an “R” marker for each retest, giving a clear visual history of price interaction.
Advanced ATR Filtering ||| Volatility-based filters control zone quality: set min/max zone height and optionally enforce a consistent zone height using ATR.
Minimum Zone Distance ||| Reduces clutter by requiring a minimum number of bars between new zones, ensuring zones are distinct and well-separated.
Dual Label Controls Independently toggle info labels for Active vs Historic zones to keep charts clean while preserving key detail.
Built on Pine Script v6 ||| Uses the newest Pine Script version for better efficiency, reliability, and smoother handling of complex logic/drawings.
________________________________________
Detailed Feature Breakdown ⬛
Zone Strength Ranking ⬛
The strength score is a proprietary calculation that helps traders instantly gauge the potential of a supply or demand zone. It is calculated in real time using:
1. Age of the Zone: As zones age, they may lose relevance. Strength decreases as the number of bars since creation increases.
2. Number of Retests: The first test is often the highest-probability reaction. Each retest reduces strength as liquidity is absorbed.
✅ A high score (7/10+) indicates a fresh, less-tested zone that may produce a strong reaction.
⚠️ A low score suggests a zone is old and/or heavily tested—use extra caution.
________________________________________
🧱⬛Invalidation & Historic Zones
A zone becomes invalidated broken when price closes beyond its outer boundary or wicks beyond it, depending on settings. Once broken, it becomes a Historic Zone and turns gray.
This matters for structure: a broken supply zone can become future demand a flip zone, and vice versa.
________________________________________
🧪⬛Advanced Filtering Explained
Three ATR-based filters control zone quality:
• Max Zone Height (ATR Multiplier): Blocks zones that are too large to trade effectively. Example: 1.0 ignores zones taller than 1× ATR.
• Min Zone Height (ATR Multiplier): Filters out zones that are too thin and likely noise. Example: 1.0 rejects zones smaller than 1× ATR.
• Force Zone Height (ATR Multiplier): Normalizes zone heights by expanding smaller valid zones up to the minimum ATR target. Example: 1.0 expands zones to at least 1× ATR.
________________________________________
🧾⬛Configuration Guide
⚙️⬛Zone Detection
⚙️ Setting 🔧 Default 📝 Description
Swing Length (Sensitivity) 12 Lookback bars for pivot high/low detection. Higher = fewer, stronger zones.
Max Zones to Display 10 Max number of active Supply + Demand zones shown.
Max Zone Height (ATR) 1.0 Rejects zones taller than this ATR multiplier.
Min Zone Height (ATR) 1.0 Rejects zones smaller than this ATR multiplier.
Force Zone Height (ATR) 1.0 Expands valid zones to be at least this ATR multiplier.
Min Distance Between Zones 44 Minimum bars required between consecutive zones of the same type.
________________________________________
🧱⬛Zone Settings
⚙️ Setting 🔧 Default 📝 Description
Zone Invalidation Close “Close” = candle must close past zone; “Wick” = wick past zone breaks it.
Show Historic Zones On Toggles visibility of broken (historic) zones.
Active Zones Lookback 1000 Hides active zones older than this many bars.
Historic Zones Lookback 1000 Hides historic zones older than this many bars.
________________________________________
🖥️⬛Display
⚙️ Setting 🔧 Default 📝 Description
Show Active Zone Info On Toggles text labels for active (unbroken) zones.
Show Historic Zone Info Off Toggles text labels for historic (broken) zones.
Label Size Small Adjusts the font size of zone info labels.
Ichimoku Bounce on Tenkan-Sen by YellowKumaIchimoku Bounce (Long/Short) on Tenkan-Sen by YellowKuma
Pure bounce signals off the Tenkan-sen • No MTF • No noise
🌊 What It Does
This indicator spots high-probability reversal zones where price reacts off the Tenkan-sen (9-period conversion line) — the fastest Ichimoku component acting as dynamic support/resistance.
✅ Long signal → Price bounces up from Tenkan-sen while trading above the cloud
✅ Short signal → Price rejects down from Tenkan-sen while trading below the cloud
✅ Kijun-sen is used only as a trend filter (Tenkan > Kijun for longs / Tenkan < Kijun for shorts) — never as a bounce level
✅ Zero MTF complexity — runs purely on your chart's native timeframe, no repainting
Signals appear as:
🟢 "L" label below the bar → Bullish Tenkan bounce
🔴 "S" label above the bar → Bearish Tenkan bounce
⏱️ Timeframe Matters — A Lot
This strategy shines on higher timeframes and struggles on low ones. Why?
📈 H4 / Daily / Weekly
→ Tenkan-sen aligns with real institutional pivot zones
→ Cloud represents weeks of consensus value — strong trend filter
→ Bounces carry momentum → larger winners, fewer whipsaws
📉 M5 / M15 / M30
→ Tenkan-sen reacts to micro-noise, not structure
→ Cloud too thin — price slices through easily
→ False bounces dominate → shallow moves, poor R:R
💡 Rule of thumb:
• Use H4 for swing entries
• Use Daily for core trend trades
• Keep a Weekly chart open to confirm macro trend (only trade bounces with the Weekly cloud)
• Avoid M15/M30 entirely — signal quality degrades sharply
⚙️ Settings (Simple & Clean)
• Tenkan-sen Period → 9 (standard) — shorter = more sensitive, longer = smoother
• Kijun-sen Period → 26 (standard) — trend filter only
• Senkou Span B Period → 52 (standard) — defines cloud thickness
• Show Long Bounces → Toggle ON/OFF
• Show Short Bounces → Toggle ON/OFF
Cloud colors:
🟢 Green fill → Bullish cloud (Senkou Span A > B)
🔴 Red fill → Bearish cloud (Senkou Span A < B)
🎯 How to Trade the Signals
1️⃣ Wait for confirmation
→ Never enter mid-bar. Wait for candle close beyond the Tenkan-sen.
2️⃣ Check cloud alignment
→ Longs only when price > cloud top
→ Shorts only when price < cloud bottom
3️⃣ Add price action confirmation (optional but recommended)
→ Bullish engulfing / hammer at Tenkan → stronger long signal
→ Bearish engulfing / shooting star at Tenkan → stronger short signal
4️⃣ Risk management
→ Stop-loss: 1–2 pips beyond bounce bar extreme OR 2×ATR(14)
→ Take-profit: Target Kijun-sen (near-term) or opposite cloud boundary (swing)
→ Minimum reward:risk = 1:3
5️⃣ Avoid these situations
→ Choppy markets (Tenkan/Kijun flat, cloud thin)
→ Major news events (FOMC, NFP) — volatility distorts Tenkan touches
→ Bounces within 15 pips of strong horizontal resistance/support against your direction
🔔 Alerts
Built-in alert conditions:
• "Long Bounce" → triggers when green "L" appears
• "Short Bounce" → triggers when red "S" appears
→ Right-click indicator → Add Alert → choose condition
💡 Pro Tips for TradingView Users
✨ Session timing: Avoid first 60 mins of London/NY open — volatility creates false Tenkan touches
✨ Combine with Weekly trend: Disable short signals when price > Weekly cloud (and vice versa)
✨ Less is more: Expect 2–5 high-quality signals per week on H4 — that's normal. Quality > quantity.
⚠️ Important
This is a price-structure tool, not a magic bullet.
Always:
• Respect the trend (trade bounces with the cloud, not against it)
• Use proper position sizing (0.5–1% risk per trade)
• Keep a trading journal — track which bounces worked and why
✨ Bottom Line
Pure. Simple. Effective.
By focusing only on Tenkan-sen bounces — and enforcing strict cloud alignment — this indicator cuts through noise and delivers clean reversal zones where institutions actually place orders.
Works best on H4 and higher.
Add it. Switch to H4. Trade the bounce. 🚀 @YellowKumo
MicroChainAi Structure Stance📊 MicroChainAi Structure Stance|微链智控・结构力场
MicroChainAi Structure Stance 是一款围绕市场结构关系构建的结构解析指标,重点关注价格在关键结构区域中的受力状态、稳定性与结构转换过程。该指标用于提供行情所处结构阶段的判断依据,而非用于捕捉短期交易信号。
MicroChainAi Structure Stance is a structure-focused analysis indicator designed to interpret price behavior around key structural areas. It emphasizes force interaction, stability, and structural transitions, providing context on the current structural phase rather than producing short-term trading signals.
------------------------------
🧩 主要功能与特点|Main Features & Characteristics
📐 结构区域刻画|Structural Zone Mapping
围绕关键价格区域构建结构参考框架,用于观察价格在重要结构区间内的运行方式与反应强度。
Builds a structural reference framework around key price zones to observe how price behaves and reacts within important structural areas.
🔄 结构阶段识别|Structural Phase Identification
辅助判断行情处于结构延续、结构消耗或结构重组阶段,避免将不同结构环境混为一谈。
Helps distinguish between structural continuation, exhaustion, and reorganization phases to avoid misreading different market conditions.
⚖️ 价格受力状态观察|Price Force Observation
通过结构位置与价格行为的配合,提供对多空受力倾向与平衡状态的直观参考。
Provides visual context on directional force and balance by combining structure positioning with price behavior.
🧭 结构环境过滤|Structural Context Filtering
用于过滤结构混乱或不稳定的行情阶段,辅助在结构相对清晰的环境下执行交易规则。
Filters out structurally unstable or unclear conditions, supporting execution under more defined structural environments.
⚠️ 风险感知辅助|Risk Awareness Aid
在结构敏感区域附近提供风险提醒参考,用于仓位与风险控制,而非反向操作依据。
Offers risk-awareness cues near structurally sensitive areas to support position sizing and risk control, not counter-trend actions.
------------------------------
📘 使用建议|Usage Notes
当价格在关键结构区域内出现反复测试或明显反应时,可用于观察结构是否仍具约束力
When price repeatedly tests or reacts clearly within key structural areas, use it to evaluate whether structure remains influential.
当价格快速脱离原有结构并建立新平衡时,往往意味着结构阶段已发生变化
When price decisively leaves a prior structure and establishes a new balance, it often signals a structural phase shift.
建议结合更高时间周期的结构背景使用,以避免在局部结构中产生误判
It is recommended to use this indicator alongside higher-timeframe structural context to reduce local misinterpretation.
------------------------------
⚠️ 风险提示|Risk Disclaimer
本指标仅用于行情结构分析与研究参考,不构成任何投资建议
This indicator is intended for structural market analysis and research purposes only and does not constitute investment advice.
所有判断基于历史价格行为,可能存在滞后或失效情形
All interpretations are based on historical price behavior and may exhibit lag or failure.
请勿将任何单一工具作为交易决策的唯一依据
Do not rely on any single tool as the sole basis for trading decisions.
EMA Crossover Arrows (6 EMA & 20 EMA)EMA Crossover Arrows (6 EMA & 20 EMA) - Quick Signal Detector
📊 OVERVIEW
A simple yet powerful indicator that automatically marks exact moments when the 6 EMA crosses the 20 EMA - giving you clear visual signals for potential trend changes without any chart clutter.
🎯 WHAT IT SHOWS
Two precise crossover signals:
- Blue Triangle Up (↑): 6 EMA crosses ABOVE 20 EMA (Bullish signal)
- Pink Triangle Down (↓): 6 EMA crosses BELOW 20 EMA (Bearish signal)
✨ KEY FEATURES
✓ Clean arrow markers appear only at crossover moments
✓ No lag - signals appear in real-time as crossovers occur
✓ Works on ANY timeframe (1min, 5min, 1H, daily, etc.)
✓ Non-intrusive - arrows don't clutter your chart
✓ Perfect for swing trading and trend following
✓ Zero configuration required
⚙️ TECHNICAL DETAILS
- 6 EMA: Fast-moving average for quick trend detection
- 20 EMA: Slower average providing trend confirmation
- Crossover detection uses Pine Script's built-in ta.crossover/crossunder functions
- No repainting - signals are final once the bar closes
MicroChainAi Trend HubMicroChainAi Trend Hub|微链智控・趋势中枢
MicroChainAi Trend Hub 是一款基于价格真实波动构建的趋势结构分析指标,通过动态趋势中枢与波动区间过滤,辅助判断当前市场的主导方向、趋势稳定度以及潜在的结构变化阶段。指标以趋势过滤与方向确认作为核心目标,而非频繁产生交易信号。
MicroChainAi Trend Hub is a trend structure analysis indicator built on real price volatility. By using a dynamic trend center and adaptive range filtering, it helps identify the market’s dominant direction, trend stability, and potential structural transitions. The indicator focuses on trend filtering and directional confirmation rather than generating frequent trading signals.
主要功能与特点|Main Features & Characteristics
动态趋势中枢|Dynamic Trend Center
根据市场波动强度自适应调整的趋势参考中枢,用于区分多头、空头及震荡结构,区别于传统固定参数均线。
A volatility-adaptive trend reference center that adjusts to changing market conditions, designed to distinguish bullish, bearish, and ranging structures. It is fundamentally different from traditional fixed-parameter moving averages.
趋势方向与状态识别|Trend Direction & State Identification
通过中枢的运行方向与价格相对位置,识别趋势延续、减弱或切换阶段,仅在结构发生变化时提示方向变化。
By evaluating the direction of the trend center and the relative position of price, the indicator identifies trend continuation, weakening, or transition phases, and only highlights directional changes when structural shifts occur.
多周期趋势共振评估|Multi-Timeframe Trend Confluence
对不同时间周期的趋势状态进行综合评估,辅助判断当前行情在多周期视角下是否保持一致。
Aggregates trend states across multiple timeframes to help assess whether the current market maintains directional consistency from a broader perspective.
结构支撑与阻力参考|Structural Support & Resistance Reference
自动标记关键结构位置,用于趋势延续或失效的辅助判断,而非精确入场点。
Automatically highlights key structural levels to assist in evaluating trend continuation or failure, rather than serving as precise entry signals.
风险控制辅助提示|Risk Management Assistance
在趋势运行过程中提示潜在风险释放区域,辅助进行仓位与风险管理。
Provides auxiliary risk-awareness markers during trend development, helping traders manage exposure and position risk.
使用建议|Usage Notes
当趋势中枢方向明确且价格稳定运行于中枢同侧时,行情更偏向顺势结构
When the trend center shows a clear direction and price remains consistently on the same side, market conditions tend to favor trend-following structures.
当价格频繁穿越趋势中枢,通常意味着趋势减弱或进入震荡阶段
When price frequently crosses the trend center, it often indicates trend weakening or a transition into a ranging environment.
建议结合更高时间周期趋势状态与个人交易规则一并使用
It is recommended to use this indicator in conjunction with higher-timeframe trend context and personal trading rules.
风险提示|Risk Disclaimer
本指标仅用于行情分析与研究参考,不构成任何投资建议
This indicator is intended for market analysis and research purposes only and does not constitute investment advice.
所有计算基于历史价格数据,存在滞后性与失效风险
All calculations are based on historical price data and may exhibit lag or failure under certain conditions.
请勿将单一指标或信号作为交易决策依据
Do not rely on any single indicator or signal as the sole basis for trading decisions.
Ghost Cipher [Bit2Billions]📌 Ghost Cipher — Range-State & Volatility Flow Engine
Ghost Cipher is a closed-source market state indicator built to identify **whether price is ranging, transitioning, or expanding**, using a volatility-driven range-state model.
Most indicators assume markets are either “trending” or “ranging” based on slope or moving averages. This approach fails during compression, false breakouts, and regime transitions.
Ghost Cipher solves this by classifying price into **distinct range states** using volatility behavior, range efficiency, and expansion pressure — before interpreting direction.
📌 Core Calculation Concept (Range-State Logic)
Ghost Cipher does not attempt to predict direction first.
Instead, it evaluates **how price is behaving** by measuring:
* Volatility compression vs expansion
* Range containment vs escape
* Directional efficiency within a defined range
* Breakout follow-through probability
Price is continuously classified into one of several internal **range states**, such as:
* Balanced / Contained range
* Compression / coil state
* Expansion / breakout phase
* Post-expansion transition
Directional tools only activate once the range state allows them to be meaningful.
This avoids false signals caused by applying trend logic inside non-trending conditions.
📌 Reason for Mashup (Why Multiple Elements Exist)
Ghost Cipher combines smoothing, volatility, liquidity context, and range logic **because range-state determination cannot be made from a single measurement**.
* Volatility alone cannot define structure
* Trend slope alone ignores compression
* Liquidity zones without range context are unreliable
Each component exists **only to support range-state classification**.
This is not a mashup of tools — it is **one range-state model expressed through multiple analytical outputs**.
📌 How the Components Work Together
All modules in Ghost Cipher reference the same internal range-state engine:
1. **Adaptive Smoothing Layer** filters noise and defines the active price envelope.
2. **Volatility Engine** measures compression, expansion, and regime pressure.
3. **Range Boundary Logic** detects containment, equilibrium, and escape attempts.
4. **Liquidity & Reaction Zones** are identified only at range extremes or expansion points.
5. **Trend Bias Tools** activate only during expansion-approved states.
6. **Dashboard Layer** summarizes the current range state and volatility condition.
Because all outputs depend on the same range-state classification:
* Trend signals do not appear during compression
* Liquidity zones are contextually valid
* Breakouts are evaluated by expansion quality, not candle count
📌 What Problem This Script Solves
Ghost Cipher is designed for traders who experience:
* False breakouts
* Trend signals inside ranges
* Overtrading during compression
* Conflicting volatility and trend tools
* Difficulty identifying regime transitions
By classifying market state first, Ghost Cipher provides:
* Clear identification of non-trading conditions
* Valid breakout vs fakeout context
* Controlled activation of directional bias
* Cleaner charts with fewer false signals
📌 How Traders Use Ghost Cipher
Ghost Cipher is **not** an entry system.
Traders use it to:
* Identify when the market is tradable
* Avoid compression and chop
* Confirm valid expansion phases
* Understand post-breakout behavior
* Maintain consistency across markets and timeframes
All outputs are **contextual**, not automated trades.
📌 Why This Script Is Original
Ghost Cipher does not rely on:
* Fixed Bollinger logic
* Simple ATR thresholds
* Moving-average slope detection
Its originality lies in:
* Continuous range-state classification
* Volatility-driven regime validation
* Conditional activation of directional logic
* Unified state engine shared across all modules
This behavior cannot be achieved by combining standard volatility or trend indicators.
📌 Why This Script Is Invite-Only
Ghost Cipher replaces multiple manual processes:
* Range marking
* Compression detection
* Breakout validation
* Volatility regime filtering
* Trend activation timing
Its value lies in **how range-state and volatility flow are classified and enforced**, which requires proprietary logic and is therefore provided as a closed-source, invite-only script.
📌 Key Features & Components
1. Candles & Visualization
* Custom Heikin-Ashi–style candle coloring for a clean chart.
* Multi-timeframe overlays to highlight higher-timeframe influence.
2. Smoothed Trend Processing
* Proprietary smoothing for noise-reduced trend detection.
* Zero-Lag Multi-Ribbon: layered momentum ribbon with gradient shading for lag-free directional assessment.
3. Liquidity & Institutional Mapping
* Real-time liquidity depth visualization.
* Detection of pockets, imbalance zones, and resting liquidity clusters.
* Smart Bullish & Bearish Order Blocks with mitigation-focused logic.
4. Dynamic Demand & Supply Engine
* Auto-detection of institutional demand/supply zones.
* Adaptive boundaries respond to volatility, displacement, and liquidity conditions.
5. Volatility & Channel Tools
* Adaptive Bollinger-style volatility bands.
* Macro trendlines, break structures, and volumetric channel mapping.
6. Intelligent Market Flow Tools
* Dynamic Magic Line: adapts to real-time volatility, range compression, and volume shifts.
* CRT Candle Range Theory: detects ranges, equilibrium zones, and breakout/reaction signals.
7. Market Sessions
* Highlights bull/bear sessions for directional bias and structural insight.
📌 Dashboard Metrics
* Volume Delta Dashboard: aggregated BTC delta across major exchanges; multi-asset pairing for comparison.
* Market Overview Panel: current bias, trend regime, and structured analyst notes.
📌 Chart Clarity & Design Standards
* Only essential real-time labels displayed; historical labels hidden.
* Organized visuals with consistent colors, line types, and modular design for quick interpretation.
📌 How to Use / What Traders Gain
* Reduces manual charting and repetitive analysis.
* Speeds workflow using rule-based, automated visualization.
* Cuts through market noise for consistent, structured insights.
* Supports multi-timeframe and multi-market analysis.
📌 Inputs & Settings
* Default settings pre-configured
* Simple Show/Hide toggles for modules
* Minimal exposed fields for ease of use
📌 Recommended Timeframes & Markets
* Works best on 15M, 1H, 4H, Daily, and higher
* Suitable across forex, crypto, indices, and liquid equities
* Pivot-based modules may show noise on illiquid assets
📌 Performance & Limitations
* May draw many objects → disable unused modules for speed
* Refresh the chart if historical buffer issues occur
* TradingView platform limitations handled internally
📌 License & Legal
* Proprietary © 2025
* Redistribution, resale, or disclosure prohibited
* Independently developed with proprietary extensions
* Any resemblance to other tools may result from public-domain concepts
📌 Respect & Transparency
* Built on widely recognized public trading concepts.
* Developed with respect for the TradingView community.
* Any overlaps or similarities can be addressed constructively.
📌 Disclaimer
* Educational purposes only
* Not financial advice
* Trading carries risk — always use paper testing and proper risk management
📌 FAQs
* Source code is not public
* Works best on 15m, 1H, 4H, Daily, Weekly charts
* Modules can be hidden/shown with toggles
* Alerts can be set up manually by users
* Supports multiple markets: forex, crypto, indices, and equities
📌 About Ghost Trading Suite
Author: BIT2BILLIONS
Project: Ghost Trading Suite © 2025
Indicators: Ghost Matrix, Ghost Protocol, Ghost Cipher, Ghost Shadow
Strategies: Ghost Robo, Ghost Robo Plus
Pine Version: V6
The Ghost Trading Suite is designed to simplify and automate many aspects of chart analysis. It helps traders identify market structure, divergences, support and resistance levels, and momentum efficiently, reducing manual charting time.
The suite includes several integrated tools — such as Ghost Matrix, Ghost Protocol, Ghost Cipher, Ghost Shadow, Ghost Robo, and Ghost Robo Plus — each combining analytical modules for enhanced clarity in trend direction, volatility, pivot detection, and momentum tracking.
Together, these tools form a cohesive framework that assists in visualizing market behavior, measuring momentum, detecting pivots, and analyzing price structure effectively.
This project focuses on providing adaptable and professional-grade tools that turn complex market data into clear, actionable insights for technical analysis.
Crafted with 💖 by BIT2BILLIONS for Traders. That's All Folks!
📌 Changelog
v1.0 Core Release
* Custom Heikin-Ashi Candles: Clean, visually intuitive candle designs for effortless chart reading.
* Smoothed Moving Averages: Advanced smoothing algorithms for precise trend tracking and confirmation.
* Liquidity Depth Visualization: Real-time insight into liquidity levels, depth pockets, and imbalance zones.
* Dynamic Demand & Supply Mapping: Automatic detection of institutional demand and supply zones with adaptive boundaries.
* High-Timeframe Candle Zones (HTF): Dual HTF candle overlays for macro-level trend context and control over candle count.
* Trend Lines & Channels: Macro and aggressive volumetric trendlines for structured market flow analysis.
* Zero-Lag Moving Average Ribbon: Layered ribbon with shaded gradients for smoother, lag-free momentum visualization.
* Volatility Bands: Adaptive Bollinger-style bands for dynamic range analysis.
* Dynamic Magic Line: Self-adjusting line responding to real-time volatility and volume shifts.
* CRT Candle Range Theory: Automatic detection and visualization of CRT candle ranges and range-based signals.
* Bull & Bear Sessions: Highlights key market sessions to identify directional bias and volatility shifts.
* Order Blocks: Smart detection of bullish and bearish institutional order blocks.
* Dashboard Module:
* Volume Delta Dashboard: Aggregated delta volume from all major exchanges for BTC, with the ability to pair up to 4 additional assets.
* Market Overview Panel: Displays current bias, trend insights, and actionable analyst notes.






















