Pradeep Bonde (Stockbee) Momentum Pro TradingView Description for "Pradeep Bonde (Stockbee) Momentum Pro"
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Pradeep Bonde (Stockbee) Momentum Pro
The Complete Momentum & Episodic Pivot Trading System
Based on the proven methodology of Pradeep Bonde (Stockbee) — the legendary momentum trader and "Mentor to $100 Million Traders."
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📈 OVERVIEW
This indicator implements Stockbee's complete momentum trading system, designed to identify high-probability swing trade setups. It combines Episodic Pivots, Momentum Bursts, Anticipation Setups, and IBD-style Relative Strength analysis into a single professional tool.
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🔥 KEY FEATURES
1. EPISODIC PIVOT DETECTION (EP)
The crown jewel of Stockbee's methodology:
- Detects 10%+ gaps on massive volume (2x+ average) — true catalyst-driven breakouts
- Identifies Delayed EP Breakouts — consolidation after initial gap, then secondary breakout
- Tracks days since EP for optimal entry timing
- PEAD (Post Earnings Announcement Drift) opportunities
2. MOMENTUM BURST SIGNALS
- 4%+ moves on volume 40%+ above average
- Quality filters: Requires narrow range before breakout, close near high of day
- Tiered signals: Momentum Burst → Strong Momentum → Exceptional Momentum
- "Quality" prefix (★) indicates setups with all filters passed
3. ANTICIPATION SETUP DETECTION
Pre-breakout coiling patterns:
- Detects 1-3 week tight consolidations after prior 15-25%+ advances
- Volume dry-up analysis during consolidation (< 60% of prior average)
- Anticipation score helps identify coiled springs before they break out
4. IBD-STYLE RELATIVE STRENGTH
- Custom RS Rating (1-99 scale) weighted by recent performance
- RS New High detection — signals institutional accumulation
- Weighted calculation: 40% Q1, 20% Q2, 20% Q3, 20% Q4 performance
5. BAG HOLDER PROTECTION ⚠️
Stockbee's cardinal rule: "Never buy after 3+ consecutive up days"
- Automatic detection of late entries
- Visual warnings on chart
- Quality score penalty for bag holder territory
6. EXIT SIGNAL SYSTEM
- First down day after 3+ up days = EXIT
- Close below 5-day MA trigger
- Clear visual EXIT labels on chart
Signal Thresholds:
- 🎯 PERFECT: Score ≥ 8.5 (highest probability trades)
- 💪 STRONG BUY: Score ≥ 7.5
- BUY: Score ≥ 6.5
- WATCH: Score 5.0 - 6.5
- ⚠️ LATE ENTRY: High score but in bag holder territory
- BEARISH: Score ≤ 3.0 and below trend MA
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🎨 VISUAL ELEMENTS
Chart Labels
- 🔥 EP — True Episodic Pivot (10%+ gap)
- ★EM / ★MB — Quality Exceptional/Momentum Burst
- ★BO — Quality Breakout
- ⚡ — Coiling setup (pre-breakout)
- RS↑ — Relative Strength new high
- LATE — Bag holder warning
- EXIT — Exit signal
Chart Elements
- Moving Averages: 5, 10, 20, 50, 200 MA with professional styling
- Consolidation Boxes: Shows prior consolidation range on breakouts
- Stop/Target Lines: Automatic levels on active signals
- Background Colors: Gradient highlighting for signal strength
Dashboard (Top Right)
Professional 3-column display showing:
- Signal status & total score
- Visual score bars for each component
- Key metrics (RS Rating, Volume Ratio, Close Position)
- Filter status (Trend, Entry Day)
- Trade setup (Risk/Reward ratio)
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⚙️ CUSTOMIZABLE SETTINGS
General
- Show/hide labels, backgrounds, consolidation boxes
- Trend filter (50 MA, 200 MA, or Both)
- Bag holder avoidance toggle
Momentum Burst
- Threshold percentages (4%, 6%, 8%+)
- Require narrow range before breakout
- Close near high threshold
Episodic Pivot
- Consolidation period (20-60 days)
- Consolidation range (5-20%)
- Gap threshold (10%+)
- Volume multiple (2x+)
Narrow Range / Contraction
- Lookback period
- Range threshold
- Days required before breakout
Volume Analysis
- Average period (50 days)
- Spike threshold (1.4x = 40% above average)
- Volume vs previous day requirement
- Dry-up threshold for consolidation
Relative Strength
- Minimum RS rating (80)
- Strong RS rating (90)
- EPS growth minimum filter
Display Options
- Toggle for each signal type
- Debug panel for troubleshooting
- Color customization
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🔔 ALERTS
Comprehensive alert conditions:
- 🔥 True Episodic Pivot — The most important signal
- 🎯 Perfect Setup
- 💪 Strong Buy Signal
- Buy Signal
- Quality Momentum Burst
- Consolidation Breakout
- RS New High
- ⚠️ Bag Holder Warning
- Exit Signal
- Gap Up/Down
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📚 STOCKBEE METHODOLOGY SUMMARY
Core Principles:
- Buy Day 1 of breakout, not Day 3+ (bag holder territory)
- Focus on $10-$100 stocks with RS > 80
- Prefer breakouts after tight consolidation or negative day
- Close near high of day on breakout confirms strength
- Volume > previous day volume on breakout
- Exit on first down day after 3+ up days
- Hold 2-5 days typically for 8-40% gains
MAGNA Criteria:
- Massive earnings (100%+ EPS/Sales growth)
- Gap up (4%+ on 100k+ pre-market volume)
- Neglected (low prior volume, minimal institutional ownership)
- Analyst upgrades
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💡 USAGE TIPS
- For best results: Use on daily timeframe with stocks $10-$100
- Focus on: 🔥 EP and ★ (quality) signals
- Avoid: Entries showing "LATE" warning
- Combine with: Fundamental screening (EPS growth 25%+)
- Use trend filter: Prefer stocks above 50-day MA
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⚠️ DISCLAIMER
This indicator is for educational purposes. Past performance is not indicative of future results. Always use proper risk management and position sizing. Not financial advice.
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Based on the research and methodology of Pradeep Bonde at Stockbee.com
Phân tích Xu hướng
TRADE ORBIT:- PRO—IndicatorVolume/BOS/Supertrend WITH DashboardKey Features
✔ OBV / Volume Strength Confirmation
No more weak entries in low liquidity zones
✔ Structure Break Filters (BOS & ChoCH)
Only triggers signals when market shifts direction with power
✔ SuperTrend Trend Filter (Optional)
Allows you to trade only in the main market direction
✔ MACD Histogram Momentum Check
Avoids counter-momentum trades
✔ RSI Zone Control
Stops entries in overbought/oversold traps
✔ Dashboard & Signal Strength Meter
Shows:
• Trend Status
• Volume Bias
• Last Signal Direction
• Breakout Confirmation
🎯 Best For:
Scalping & Quick Intraday Moves
Forex • Crypto • Indices • Stocks
3–15min charts recommended
🛠 Market Logic Summary
BUY Conditions:
🔹 Supertrend Bullish
🔹 EMA 5 crossover above EMA 12
🔹 MACD Momentum > 0
🔹 OBV Rising + Volume Strength Positive
🔹 Confirmed BOS to upside
SELL Conditions:
🔹 Supertrend Bearish
🔹 EMA 5 crossunder EMA 12
🔹 MACD Momentum < 0
🔹 Volume Weakness or OBV declining
🔹 Confirmed BOS to downside
📌 Alerts Included
🚨 BUY Entry Trigger
🚨 SELL Entry Trigger
NAS Ultimate Algo v2.5NAS Ultimate Algo v2.5 has following features:
1. Dynamic Trailing SL Label
2. Auto-Hide on TP Hit
3. Dynamic Take-Profit Targets (ATR-based)
4. Label Colour Customization
Ghost Shadow [Bit2Billions]📌 Ghost Shadow — Adaptive Momentum & Divergence Engine
Ghost Shadow is an adaptive momentum analysis framework built on a normalized MACD model for consistent trend evaluation across all markets and timeframes. By converting MACD behavior into percentage-scaled zones and layering it with Heikin-Ashi–style MACD candles, the indicator provides a smooth, intuitive read of swing shifts and trend transitions.
It includes stochastic momentum analysis, real-time divergence detection, contextual candle-pattern recognition, supply/demand scoring, and a full multi-layer dashboard that organizes the entire market structure into one visual system.
🔹 Key Features
• Normalized Adaptive MACD
Percentage-based MACD with dynamic overbought/oversold shading for stable momentum context across assets.
• Heikin-Ashi MACD Candles
Smooth, noise-reduced candle representation for clearer swing identification.
• Stochastic Candles & Signals
OB/OS highlights, adaptive zone shifts, and real-time divergence detection.
• Divergence Engine
Flexible detection of:
* Regular Divergence (bull & bear – dashed lines)
* Hidden Divergence (bull & bear – dotted lines)
* Live developing divergences using past-data only (no lookahead)
• Multi-Module Dashboard
A structured overview of everything happening on the chart in one place.
📊 Dashboard Metrics
MACD Bias
Directional momentum & trend strength from the normalized MACD engine.
Stochastic Bias
Short-term momentum read with OB/OS sensitivity.
Candle Pattern Detection (70+ patterns)
Doji, Morning/Evening Star, Shooting Star, Hammer, Bearish/Bullish Engulfing, Harami, Piercing Line, Hanging Man, Spinning Top, Dark Cloud Cover, Raindrop/Doji, Tweezer Top/Bottom, Tower patterns, Inside/Outside Bar, Three Line Strike, Three White Soldiers, Three Black Crows, Marubozu, Tasuki patterns, Rising/Falling Three Methods — and many more.
Body/Wick/Volume Ratios
Automatic interpretation of candle sentiment through proportional body/wick/volume analysis.
Demand & Supply Strength
Real-time scoring of active candle pressure and MA-based supply/demand bias.
Directional Bias (Safe Term)
Aggregated long/short *lean* using combined momentum, divergence, and structure inputs.
*This is a contextual bias, not an automated signal.*
Higher-Timeframe Metrics
* HTF Trap Levels & Scoring
* HTF Volume Conditions
* HTF Price Action Alignment
* Quick HTF Bias Reads
Market Summary
Consolidated sentiment, structure, and volatility status into one panel.
🔹 How Modules Work Together (Conceptual Overview)
Ghost Shadow uses a structured pipeline:
1. Normalized MACD builds the base momentum landscape.
2. Swing Structure is read internally to anchor divergences and zone shifts.
3. Divergence Engine compares MACD/Stoch swings vs price swings using past pivots only.
4. Adaptive OB/OS Zones adjust to volatility using dynamic scaling.
5. Dashboard aggregates all module outputs into a unified directional lean for interpretation.
This ensures each module references the same internal logic rather than acting as separate uncorrelated tools.
🎨 Visual Design & Chart Clarity
* Only essential real-time labels shown.
* All historical/replayed labels disabled to maintain chart cleanliness.
* Consistent color-coded visuals for divergence, momentum zones, and pattern signals.
* Shapes, line-styles, and colors remain organized for fast interpretation.
Divergence Lines
* Regular Divergence: Dashed Green/Red
* Hidden Divergence: Dotted Green/Red
Usage Note
This indicator does not auto-trade or provide guaranteed entries.
All visuals represent contextual bias for trader interpretation only.
What Ghost Shadow Solves
*Reduces manual momentum and divergence analysis
*Removes chart clutter with adaptive visuals
*Provides fast, rules-based market interpretation
*Standardizes workflow across markets and timeframes
*Helps identify exhaustion, continuation, and swing bias instantly
⚙️ Inputs & Settings
* Clean layout with simple Show/Hide toggles
* Pre-configured defaults
* Minimal exposed fields for ease of use
* Designed to reduce setup time and improve workflow speed
🕒 Recommended Timeframes & Markets
* Best on 15m, 1H, 4H, Daily, Weekly
* Works across forex, crypto, indices, commodities, equities
* Pivot-based structures may show noise on illiquid assets
⚡ Performance & Limitations
* Heavy modules may draw many objects → disable unused sections
* If the chart stops loading objects, simply refresh
* All TradingView platform limitations handled internally
📄 License & Legal
* Proprietary © 2025
* Redistribution, resale, or sharing of internals is prohibited
* Independently developed; uses only public-domain trading concepts
* Any resemblance to other tools is coincidental and concept-based only
🤝 Respect & Transparency
* Built fully on public, widely known trading concepts
* No code reused or copied; all logic developed independently
* If any similarity is noticed, it can be addressed constructively
⚠️ Disclaimer
* For education and analysis only
* Not financial advice
* Market risk is real — always backtest and manage risk properly
❓ FAQs
* Source code is not public
* Works best on 15m, 1H, 4H, Daily, Weekly
* All modules individually toggleable
* Alerts can be set manually
* Compatible with forex, crypto, indices, commodities, 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
* Introduced Normalized Adaptive MACD with percentage-based zones and overbought/oversold shading.
* Added Heikin-Ashi style MACD candles for smoother swing visualization.
* Implemented Stochastic Candles with dynamic zones and divergence detection.
* Added Real-Time Divergence Engine for MACD and Stochastic (regular, hidden, live).
* Integrated Automated Candle Pattern Recognition with 70+ patterns.
* Added Body/Wick/Volume Ratio Metrics for long/short market analysis.
* Implemented Demand & Supply Strength Analysis (current candle & moving average-based).
* Added Directional Predictions for long and short positions.
* Developed Higher-Timeframe Analysis Modules with traps, volume, alignment, and quick signals.
* Added Comprehensive Dashboard summarizing momentum, patterns, HTF traps, and actionable market status.
[iQ]PRO PORASL+🌟 PRO PORASL+ | Dynamic Momentum & Trend Oscillator 🌟
The PRO PORASL+ is a proprietary, closed-source technical analysis tool meticulously engineered to deliver exceptional clarity on market momentum, trend strength, and potential reversal points beneath the surface of price action.
This indicator is not merely a traditional oscillator; it represents a sophisticated evolution of classic concepts, adapting to modern market dynamics to provide a powerful edge. It generates a single, normalized plot that oscillates between -100 and +100, offering an intuitive visual gauge of underlying directional bias and velocity.
🔍 Core Functionality & Purpose
Advanced Price Normalization: At its core, the indicator employs a unique, multi-stage calculation to first normalize the current price against a dynamically determined high-low range over a configurable lookback period. This crucial step removes the dependency on absolute price levels, allowing for consistent and cross-asset comparisons.
Dual-Layered Smoothing: To filter out market noise and amplify significant shifts, the PRO PORASL+ utilizes a dual-layered smoothing architecture. It applies specialized, proprietary Exponential Moving Average (EMA) techniques at multiple stages of the calculation—to the price series, the average series, and the final normalized ratio—ensuring only high-conviction signals are generated.
Momentum Ratio Analysis: The centerpiece of the indicator is a proprietary ratio comparison. It strategically compares the normalized position of the current price against the normalized position of a specially calculated smoothed average. The resulting ratio forms the basis of the final oscillator value, providing a sensitive measure of whether momentum is accelerating or decelerating relative to the established trend.
📊 Interpretive Features
Normalized Scale: The oscillator's normalized output ranges from -100 to +100. Values above 0 indicate a dominant bullish structure, while values below 0 indicate a dominant bearish structure. Extreme values nearing ±100 suggest maximum momentum strength.
Zero-Line Crossover: Crosses of the Zero Line are pivotal signals, often highlighting a significant shift in market control from buyers to sellers, or vice-versa.
Intelligent Bar Coloring: The indicator features a unique Bar Coloring Module to assist in visual confirmation and trend identification. The bar color adapts dynamically, distinguishing between:
Strong Directional Movement (Bullish/Bearish Confirmation)
Neutral/Zero-Line Transition
Crucial Reversal/Transition Zones (Indicating a potential shift in momentum before a full trend change)
🛡️ Exclusivity and IP Protection
The methodology utilized in the PRO PORASL+ incorporates several proprietary mathematical concepts, including specialized TEMA and SSMA applications, custom clamping functions, and a unique formula for the momentum ratio. This tool is meant to be published as a closed-source, invite-only indicator for our valued, paying members to ensure the protection of our intellectual property and the integrity of the signals provided. Free for hopeful followers and members of discord where i share grants to trials and more access . More joining discord and following sobadubdub the more fun tools are useable. . ;)
The PRO PORASL+ is designed to be an indispensable tool for traders seeking a deep, refined understanding of market momentum and trend trajectory. Candle coloring for old smart people!
GURULifeline — DANGER ZONE (Recession Filter)The GURULifeline Danger Zone is your Recession filter — an indicator that identifies market health with precision and exposes when a trend is normal… and when it’s entering collapse.
This is not a simple moving average.
This is a trend-regime classifier engineered for structural truth:
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🔹 Purple Zone — Trend Health / Macro Baseline
Your long-term structural reference.
Price above the purple line = normal trend environment.
When price breaks below both the Danger Zone (purple) and the Baseline (blue) , the system enters full recession mode.
This is where long trends die and major moves reload.
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⭐ HOW TO USE IT
The Danger Zone is the macro truth layer of the GURULifeline system:
• Above the zone → normal environment
• Testing the zone → trend weakening
• Below the zone → recession / collapse conditions
• Yellow tension line → momentum draining
• Red tension line → confirmed breakdown
Works on any timeframe and any asset — SPX, QQQ, crypto, FX, futures.
Pairs directly with:
✔ Flag Engine
✔ Baseline (Blue)
✔ Blanket (Orange)
✔ Candle Colors
✔ Trend Retracement Zones
Used in every SPX weekly trend-health video hosted by Elaina Mae Kingsley.
Daily % Change TableDaily % Change Table — Indicator Summary
This indicator provides a compact performance summary for daily candles, designed for backtesting and daily-session analysis. It displays a table in the top-right corner of the chart showing three key percentage-change statistics based on the current candle:
1. Prior Change
Percentage move from the close two days ago to the prior day’s close.
Useful for understanding momentum and context heading into the current session.
2. Change
Percentage move from the prior day's close to the current candle’s close.
Shows today’s full-session change.
3. Premarket
Percentage move from the prior day's close to the current day’s open.
Helps quantify overnight sentiment and gap activity.
Features
Clean, unobtrusive table display
Automatically updates on the most recent bar
Designed for use on Daily timeframe
Useful for gap analysis, backtesting, and volatility/momentum studies
BaraaCoOL's Multi-Timeframe Signals**BaraaCoOL's RTD - Real-Time Direction Indicator**
© BaraaCoOL 2025 | Version 1.0
**🎯 What Does This Indicator Do?**
RTD shows you the market direction across multiple timeframes in one simple dashboard. When all timeframes align, you get clear BULLISH or BEARISH signals to help you make better trading decisions.
**📊 What You See on Your Chart:**
1. **Dashboard Table** - Shows 6 timeframes (M5, M15, M30, H1, H4, D1)
- **R Row** = Momentum strength (green = bullish, red = bearish)
- **T Row** = Trend acceleration (green = accelerating up, red = accelerating down)
- **D Row** = Direction status (▲ = up, ▼ = down, ● = neutral)
- **TREND Row** = Overall signal (BULLISH/BEARISH/NEUTRAL)
2. **Colored Zones** - Show you where price is relative to trend
- Green zones = Price above trend (bullish area)
- Red zones = Price below trend (bearish area)
3. **Trend Line** - Main reference line
- Cyan color = Price is above (bullish)
- Pink color = Price is below (bearish)
4. **Signal Arrows** (optional)
- ▲ Green arrow = Potential buy signal
- ▼ Red arrow = Potential sell signal
**🔔 How to Get Alerts:**
**Quick Setup (Single Symbol):**
1. Add the indicator to your chart
2. Click the Alert button (⏰) at the top
3. Select "BaraaCoOL's RTD" → "Dashboard BULLISH/BEARISH"
4. Click Create
**For Multiple Symbols:**
1. Make a watchlist with symbols you want to monitor
2. Click Alert button (⏰)
3. In "Symbol" dropdown → Choose your watchlist
4. In "Condition" → Select "BaraaCoOL's RTD" → "Dashboard BULLISH/BEARISH"
5. Click Create
You'll get notified whenever ANY symbol in your watchlist turns BULLISH or BEARISH!
**💡 How to Trade With It:**
**Simple Strategy:**
- Dashboard shows **BULLISH** → Look for BUY opportunities
- Dashboard shows **BEARISH** → Look for SELL opportunities
- Dashboard shows **NEUTRAL** → Stay out or wait for confirmation
**Best Results:**
- Wait for the TREND row to show BULLISH or BEARISH
- This happens when M5, M15, and M30 all align in the same direction
- The stronger the alignment, the better the signal
**⚙️ Settings You Can Change:**
- **Dashboard Position** - Move it to any corner of your chart
- **Dashboard Size** - Compact (phone), Normal (desktop), Large (tablet)
- **Show/Hide Elements** - Turn on/off zones, trend line, or arrows
- **Colors** - Customize all colors to match your style
- **Sensitivity** - Adjust how fast the indicator responds to price changes
**✅ Works On:**
- All markets (Forex, Crypto, Stocks, Indices, Commodities)
- All timeframes (1-minute to Monthly)
- All trading styles (Scalping, Day Trading, Swing Trading)
**⚠️ Important:**
- Use proper risk management
- Don't risk more than you can afford to lose
- This indicator is a tool to help analysis, not a guarantee of profits
- Combine with your own analysis and strategy
**Need Help?** Send me a message on TradingView!
RUSSFEST SMC Strategy V1.4RUSSFEST SMC Strategy V1.4 is a multi-timeframe Smart Money Concepts framework that builds a clean, rule-based view of market structure and then trades directly off that structure. It’s designed for traders who want to systematize SMC logic, keep their charts readable, and automate their trading.
Instead of relying on lagging oscillators, the strategy continuously tracks the active price leg, labels strong/weak highs and lows, and reacts to structural shifts in real time. The current timeframe leg is always drawn on your chart with a clear high, low, and midpoint, so you can instantly see whether price is trading in a discount or premium relative to the leg. Trade entries are driven by confirmed events aligned with directional bias, not by single-candle patterns.
A higher-timeframe (HTF) structure engine runs in the background and can be overlaid on your execution timeframe (e.g., 4H structure on a 15m chart). This HTF leg provides the primary bias and defines HTF discount/premium zones so that longs can be constrained to discounted areas of a bullish leg and shorts to premium areas of a bearish leg. An optional additional HTF bias can be turned on for traders who want an extra top-down filter before any position is allowed.
Risk management is fully structure-based. Stops are always placed beyond the current structure high/low with an optional buffer, so every trade is anchored to a meaningful swing point instead of arbitrary points. Take-profit logic is configurable:
Fixed RR – simple R-multiple targeting off the structure-based stop.
HTF Weak High/Low – targets the opposing side of the active HTF leg.
Opposite CHoCH – dynamically exits when structure flips against the position, effectively using the next structural shift as an exit rule.
Key Features:
Full SMC-style price leg tracking with strong/weak highs & lows and midpoint.
Multi-timeframe structure: overlay HTF leg on your LTF execution chart.
Primary and optional secondary HTF bias filters.
Discount/premium gating relative to the HTF leg (no “chasing” in the wrong zone).
Structure-anchored stop loss with three exit modes (Fixed RR, HTF target, Opposite CHoCH).
Day-of-week filters for filtering out any days that don't prove to be profitable.
This script is a structured SMC framework, not financial advice. Markets are risky; always forward-test, adjust parameters for your instrument and timeframe, and use position sizing that fits your own risk tolerance.
The Lighthouse Protocol (Fortress)This is the official live trading overlay for the Lighthouse Protocol system. It is designed to keep your charts clean and distraction-free while processing institutional trend data in the background.
Purpose: Unlike the "Auditor" (which is for backtesting), The Compass is built for daily execution. It removes the historical trade lines and focuses solely on the current market state.
Visual Features:
The Beam: A color-coded Cloud (Blue/Orange) that visualizes the H1/H4 Institutional Trend.
The Anchor: Clear ⚓ BUY and ⚓ SELL signal labels that only appear when all safety filters (Horizon, Beam, Tide) are aligned.
The Fog Light: If the background turns Gray, the market is in "Chop/Fog" (Low ADX). Do not trade.
The Night Watch: If the background turns Black, it is the Asian Session. The system is resting.
Risk Management:
Automatically draws the suggested Stop Loss line (Red Line) based on the 2.5 ATR "Safe Harbor" calculation.
How to Use:
Apply to GBPUSD or EURUSD on the 4-Hour (4h) timeframe.
Wait for a valid "Anchor" signal.
Set your Stop Loss at the Red Line provided.
Set Alerts on the script to be notified instantly.
Invite-Only Script.
The Lighthouse Protocol (Auditor)This is the official backtesting engine for the Lighthouse Protocol system. It allows users to verify the performance of the strategy on historical data before trading.
System Overview: The Lighthouse Protocol is an institutional swing trading system optimized for the 4-Hour (H4) timeframe. It utilizes a "Fortress" logic that filters signals based on:
The Horizon: Daily 50 EMA Trend alignment.
The Beam: H1/H4 Trend Cloud alignment.
The Fog Light: ADX Volatility filter to prevent trading in chop.
The Tide: RSI Momentum checks.
Risk Management: This strategy uses a dynamic ATR-based Stop Loss (2.5 Multiplier) and includes a Trailing Stop feature to maximize trend capture.
Instructions: Load this strategy on GBPUSD 4H or EURUSD 4H to view the backtest performance (Profit Factor, Drawdown, and Net Profit).
This script is Invite-Only.
Just SetupJust Setup — Modular Multi-Timeframe MA + Intraday Levels
Just Setup is a modular multi-timeframe tool that combines customizable Moving Averages with key intraday market levels.
It is designed for traders who need a flexible, clean and highly configurable structure that adapts naturally to any trading style — intraday or swing.
🎛️ Main Features
1️⃣ Four Fully Independent MA Groups
Each MA group includes:
On/Off toggle
Independent visibility range (Min TF / Max TF)
Up to 3 MA lines per group
10+ MA types (EMA, SMA, HMA, TEMA, DEMA, VWMA, WMA, SMMA, ZLEMA, LSMA)
Custom period, color and width
Dynamic labels with automatic text contrast
All MAs are calculated directly on the active chart (no request.security), meaning no repainting or sliding values.
2️⃣ Automatic MA Labels
Shows MA type + length
Adjusts text color based on background for maximum readability
Appears only on the last candle to keep charts clean
3️⃣ Previous Day High & Low (PDH / PDL)
Automatically detects previous day’s high & low
Extends levels across the current session
Optional labels
Supports multi-day history
Useful for identifying reactive liquidity zones and structural S/R context.
4️⃣ Premarket High & Low (PMH / PML)
Detects premarket range (04:00–09:30 ET)
Locks levels at market open
Extends lines throughout the trading day
Optional labels
Automatic session reset
5️⃣ All-Time High (ATH) Line
Automatically tracks and updates ATH
Clean visual line with optional label
No history shifting or distortion
⚙️ Ideal Use Cases
Multi-TF trend context
MA confluence framework
Intraday levels (PDH/PDL, PMH/PML)
Higher timeframe swing structure
Clean, configurable chart layouts
System building and backtesting environments
🚫 Disclaimer
This indicator does not generate buy/sell signals and should not be considered financial advice. It is a visual analysis tool meant to support independent decision-making.
Percentage Indicator 10 Days# 📊 PERCENTAGE INDICATOR 10 DAYS - TRADINGVIEW
**Created by: Alphaomega18**
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## 🎯 DESCRIPTION
This indicator positions the current price between **0%** and **100%** relative to the last 10 days.
### Calculation Formula:
1. **10-Day High** = The highest closing price of the last 10 days
2. **10-Day Low** = The lowest closing price of the last 10 days
3. **Range** = 10-Day High - 10-Day Low
4. **Variation** = 10-Day High - Current closing price
5. **Percentage** = (Variation ÷ Range) × 100
### Interpretation:
- **100%** (top) → Current price = 10-day High (high position)
- **50%** → Current price is in the middle of the range
- **0%** (bottom) → Current price = 10-day Low (low position)
⚠️ **Important**: The indicator never goes below 0% and never rises above 100%.
---
## 🎨 VISUAL CHARACTERISTICS
### Reference lines:
- **Black line at 100%** (bottom): Position at 10-day high
- **Black line at 0%** (top): Position at 10-day low
- **Gray line at 50%** (median): Center position
- **Dotted lines at 5% and 95%**: Additional graduations
### Colors:
- 🟢 **Green**: Percentage > 50% (close to high)
- 🔴 **Red**: Percentage < 50% (close to low)
### Colored zones:
- **Green zone** (> 70%): Relative strength zone
- **Red zone** (< 30%): Relative weakness zone
### Visual signals:
- 🟢 **Green arrow ▲ "BUY"**: Automatic buy signal when 3 conditions are met
- Appears at the bottom of the chart
- Indicates a potential entry point
- Automatic alert available
### Information table:
A table at the top right displays:
- 10-Day High
- 10-Day Low
- Range
- Variation
- Current Percentage
---
## 💡 HOW TO USE IT
### Trading signals:
#### 📈 Potential buy signals:
- **Percentage < 20%**: Price is close to the 10-day low
→ Potential technical bounce
- **Percentage reaches 0%**: Price touches the low
→ Extreme oversold zone
- **Percentage near 5%**: Oversold alert zone
#### 📉 Potential sell signals:
- **Percentage > 80%**: Price is close to the 10-day high
→ Potential technical correction
- **Percentage reaches 100%**: Price touches the high
→ Extreme overbought zone
- **Percentage near 95%**: Overbought alert zone
### Practical examples:
**Example 1: GOLD**
- Percentage at 15% → Gold is close to its 10-day low
- Signal: Potential support, watch for a buy
**Example 2: CRUDE OIL**
- Percentage at 85% → Oil is close to its 10-day high
- Signal: Potential resistance, watch for profit-taking
---
## 🎯 AUTOMATIC BUY SIGNAL (GREEN ARROW)
The indicator displays a **green arrow ▲** with the text "BUY" when **all 3 conditions** are met:
### The 3 mandatory conditions:
1️⃣ **%R reaches 100%**
- Price touches or exceeds the 10-day high
2️⃣ **5 days have elapsed** since the 100% level was reached
- The indicator counts 5 bars (days) since 100% was touched
- This period confirms consolidation at the high
3️⃣ **%R falls back below 95%**
- After waiting 5 days at 100%, %R drops below 95%
- This indicates the beginning of a price decline
### Signal interpretation:
✅ **Valid buy signal**: Green arrow ▲ appears
- Price touched a high (100%)
- The high held for at least 5 days (consolidation)
- Price begins to decline (crossing below 95%)
- → **Confirmed reversal potential for buying on the dip**
### Chronological example:
```
Day 1 : %R = 100% (price touches 10-day high)
Day 2 : %R = 100% (stays at high)
Day 3 : %R = 100% (consolidation)
Day 4 : %R = 100% (consolidation)
Day 5 : %R = 100% (consolidation - 5 days elapsed)
Day 6 : %R = 94% → 🟢 GREEN ARROW APPEARS = BUY SIGNAL
```
### Signal advantages:
✅ **Avoids false signals**: Waits for 5-day consolidation
✅ **Confirms reversal**: Price must actually decline (below 95%)
✅ **Precise entry point**: Clear and unambiguous signal
✅ **Automatic alert**: Immediate notification when conditions are met
---
## 🔔 AVAILABLE ALERTS
The indicator includes automatic alerts:
### Create an alert:
1. Click on **"Alert"** (⏰)
2. Condition: **"Percentage Indicator 10 Days"**
3. Choose:
- **"Oversold Zone"**: Alert when percentage < 20%
- **"Overbought Zone"**: Alert when percentage > 80%
- **"Buy Signal"**: ⭐ Alert when all 3 conditions are met for a buy signal
---
## ⚙️ PARAMETERS
- **Calculation Period**: Default 10 days (adjustable)
- Increase for more smoothing (15, 20 days)
- Decrease for more reactivity (5, 7 days)
---
## 📊 RECOMMENDED STRATEGY
### Mean reversion strategy:
1. **Wait** for percentage to reach extreme zones:
- Low zone (< 20%) to buy
- High zone (> 80%) to sell
2. **Confirm** with other indicators:
- RSI
- Volume
- Support/Resistance
3. **Place** a stop-loss outside the 10-day range
### Trade example:
```
Entry: Percentage at 10% (close to low)
Stop Loss: Below 10-day low
Take Profit: Percentage returns to 50% or higher
```
---
## 🔍 RECOMMENDED COMMODITIES
Particularly effective on:
- **Gold** (GOLD)
- **Silver** (SILVER)
- **Crude Oil WTI** (CRUDE OIL)
- **Brent Oil** (BRENT)
- **Natural Gas** (NATURAL GAS)
- **Copper** (COPPER)
- **Precious metals**
---
## ⚠️ WARNINGS
- ⚠️ This indicator shows the **relative position** of price, not future direction
- ⚠️ A price at 0% can continue to fall (new low)
- ⚠️ A price at 100% can continue to rise (new high)
- ⚠️ The indicator always stays **between 0% and 100%** (no negative values or >100%)
- ⚠️ **Always** combine with other analyses
- ⚠️ **Never** trade on a single indicator alone
---
## 🛠️ RECOMMENDED COMBINATIONS
Use this indicator with:
1. **RSI**: Confirm oversold/overbought conditions
2. **MACD**: Confirm the trend
3. **Volume**: Validate movement strength
4. **Support/Resistance**: Identify key zones
5. **Bollinger Bands**: Measure volatility
---
## 📝 TECHNICAL NOTES
- **Version**: Pine Script v5
- **Type**: Indicator (separate panel)
- **Scale**: Always between 0% and 100%
- **Update**: Real-time
---
## 📖 READING EXAMPLE
```
10-Day High: 2700
10-Day Low: 2600
Current Price: 2650
Range = 2700 - 2600 = 100
Variation = 2700 - 2650 = 50
Percentage = (50 ÷ 100) × 100 = 50%
→ Price is exactly in the middle of the 10-day range
```
---
**Happy Trading! 🚀**
---
**© Alphaomega18** - Percentage Indicator 10 Days
🔥 BEAST MODE AI v3.0 - MNQ SESSION OPTIMIZER 🔥# 🔥 **BEAST MODE AI v3.0 - MNQ SESSION OPTIMIZER**
**TradingView Indicator Description**
---
## **📋 OVERVIEW**
BEAST MODE AI v3.0 is an advanced, AI-powered trading indicator specifically optimized for MNQ (Micro Nasdaq-100 E-mini futures) scalping and day trading. It combines multiple institutional trading strategies including Smart Money Concepts (SMC), multi-timeframe analysis, volume profiling, and a proprietary Profit Wave system with session-based optimization that automatically adjusts parameters based on New York, London, and Asia trading sessions.
---
## **✨ KEY FEATURES**
**🌍 SESSION-BASED AUTO-OPTIMIZATION**
- Auto-detects current trading session (New York, London, Asia)
- Automatically adjusts ALL parameters for each session
- EMA periods, volume thresholds, targets, stops all optimize in real-time
- Manual override available for specific session optimization
- Session statistics dashboard shows active parameters
**🎯 FIVE SIGNAL TYPES WITH CONFIDENCE SCORING**
1. NORMAL SIGNALS - Standard buy/sell for swing traders
2. SCALPER SIGNALS - Fast PW breakout entries (20-30 second holds)
3. TREND SIGNALS - Multi-timeframe confluence (3 HTFs)
4. PULLBACK ENTRIES - Low-risk reentries in established trends
5. ORDER BLOCK RETESTS - Institutional support/resistance zones
**🌊 PROFIT WAVE SYSTEM**
- Triple EMA cloud with session-optimized periods
- Visual gradient fill (green bullish, red bearish)
- Automatic candle coloring based on alignment
- Dynamic calculation: NY (5/9/17), London (7/13/21), Asia (9/17/26)
**🧠 SMART MONEY CONCEPTS**
- Break of Structure (BOS) - Trend continuation
- Change of Character (CHoCH) - Reversal warnings
- Order Blocks - Institutional zones with retest alerts
- Fair Value Gaps (FVG) detection
- Swing High/Low tracking
**📊 ADVANCED VOLUME ANALYSIS**
- Volume spike detection with session-optimized thresholds
- Delta analysis (buy vs. sell volume)
- Exhaustion candle detection
- Visual markers on volume spikes
**⏰ MULTI-TIMEFRAME CONFLUENCE**
- Analyzes 3 higher timeframes simultaneously
- Session-specific combinations:
- NY: 2min, 3min, 5min (fast scalping)
- London: 2min, 5min, 10min (balanced)
- Asia: 3min, 5min, 15min (slower, trend-focused)
**📱 COMPREHENSIVE DASHBOARD**
- Real-time session tracking with color coding
- Active optimization display
- Live confidence scores for all signal types
- Volume status (Normal/High/Extreme)
- RSI reading with color-coded levels
- Delta status (Buying/Selling/Neutral)
- Customizable trend background colors
- 6 position options
**🔔 INTELLIGENT ALERT SYSTEM**
- 10 distinct alert types with detailed information
- Session-aware alerts include confidence %, price, targets, stops
- Mobile-friendly formatting
- Customizable alert frequency
---
## **🎯 HOW TO USE**
**STEP 1: CHOOSE YOUR TRADING STYLE**
- Normal: Standard buy/sell signals (swing trading)
- Scalper: Fast PW breakout signals (1-5min scalping)
- Trend: HTF confluence signals (position trading)
- Hybrid: ALL signal types enabled (recommended for MNQ)
**STEP 2: ENABLE SESSION OPTIMIZER**
1. Enable "Session-Based Optimization"
2. Select "Auto-Detect" (recommended) or choose specific session
3. Enable "Show Session Statistics" to see active parameters
**STEP 3: CONFIGURE VISUALS**
- Adjust signal colors
- Enable/disable trend background
- Set background transparency (default 80%)
- Choose dashboard position and size
**STEP 4: SET UP ALERTS**
Choose from 10 alert types including Normal, Scalper, Trend, Pullback, Order Block, BOS, and Exhaustion signals
**STEP 5: INTERPRET SIGNALS**
Signal Priority (Strongest to Weakest):
1. TREND (magenta) - Highest confluence, HTF aligned
2. SCALP (yellow) - Fast breakout, EMA aligned
3. BUY/SELL (green/red) - Standard confluence entries
4. PB (cyan/pink) - Pullback entries
5. OB (yellow) - Order block retests
6. BOS/CHoCH - Market structure changes
Multiple signals on same bar = HIGHEST PROBABILITY
---
## **💡 WHY THIS INDICATOR IS AWESOME**
**🔥 SESSION-AWARE INTELLIGENCE**
Unlike static indicators, BEAST MODE AI understands that markets behave differently during NY open (high volatility) vs. Asia session (slower, range-bound) and automatically adjusts every parameter.
**🎯 BUILT SPECIFICALLY FOR MNQ**
- Optimized point targets (20-25pts NY session)
- Fast EMA periods for 1-minute scalping
- Volume thresholds calibrated to futures markets
- Stop losses designed for MNQ volatility
**📊 INSTITUTIONAL-GRADE ANALYSIS**
Combines retail strategies (EMAs, RSI, MACD) with institutional concepts (Order Blocks, BOS, CHoCH, volume delta) for complete market view.
**⚡ REAL-TIME ADAPTABILITY**
Session changes, volatility spikes, trend shifts - all trigger automatic parameter adjustments.
**🧠 ELIMINATES GUESSWORK**
- Confidence scoring (1-10) shows signal strength
- Color-coded dashboard displays market conditions
- Session statistics show exact parameters in use
- Alert messages include all decision-making data
**🚀 MULTIPLE STRATEGIES IN ONE**
Combines Profit Wave system, Smart Money Concepts, multi-timeframe analysis, volume profiling, trend detection, and pullback identification.
---
## **📊 BEST PRACTICES**
**FOR SCALPERS (1-5 MIN CHARTS)**
- Enable Session Optimizer → Auto-Detect
- Trading Mode → Scalper or Hybrid
- Focus on SCALP signals + PB entries
- Trade during NY session (highest volatility)
- Targets: 20-30 points, stops: 15-20 points
**FOR DAY TRADERS (5-15 MIN CHARTS)**
- Trading Mode → Hybrid
- Watch for TREND + SCALP signal confluence
- Use Order Block retests for entries
- Respect BOS/CHoCH for trend changes
- Targets: 40-60 points, stops: 25-35 points
**FOR SWING TRADERS (1H-4H CHARTS)**
- Trading Mode → Trend
- Require MTF alignment (all 3 HTFs)
- Enter on Pullback entries in strong trends
- Confirm with BOS for continuation
- Targets: 100+ points, structural stops
**RISK MANAGEMENT**
- Never trade against all 3 HTFs aligned opposite
- Reduce size during Asia session (lower liquidity)
- Increase size during NY session (higher probability)
- Wait for confidence ≥ 70% on dashboard
- Use session-optimized stops shown in dashboard
---
## **🏆 PERFECT FOR:**
✅ MNQ/NQ futures scalpers
✅ Day traders seeking high-probability setups
✅ Traders who want session-specific optimization
✅ Those learning Smart Money Concepts
✅ Multi-strategy traders (scalp + trend + pullback)
✅ Traders who value confluence over single indicators
---
## **⚙️ TECHNICAL SPECIFICATIONS**
- Pine Script Version: v5
- Overlay: True (plots on price chart)
- Max Boxes/Lines/Labels: 500 each
- Calculations: Real-time, no repainting
- Lookahead: Disabled (no future data)
- Timeframe: Works on all (optimized for 1m-1h)
---
**🔥 ACTIVATE BEAST MODE. TRADE SMARTER. 🔥**
---
**Disclaimer**: This indicator is a tool for analysis and should be used in conjunction with proper risk management, trading plan, and personal discretion. Past performance does not guarantee future results. Always practice on a demo account before live trading.
---
**Copy and paste this entire description into your TradingView indicator submission!** ✅
EMA Reversion + Fake Divergence Killer – PRO (Hardened)English Description (for TradingView Store):
"Mean Reversion Killer — Advanced Pine Script v6 Strategy with Fake Divergence Filter
Key Features:
Hurst Exponent Filter: Detects real mean-reversion vs persistent trends (H < 0.50 for entry).
Acceleration Filter: Only triggers on slowdowns (low |accel| < 0.0018) to avoid traps.
Higher Timeframe Confirmation: No repaint with lookahead_off for HTF (3m/5m/15m).
Volume Filter: Requires 1.5x average volume for valid signals.
Dynamic Bands: EMA-based with std dev multiplier (customizable 2.0).
Backtest Results (90 days, BTC/USDT 5m, ×20 Leverage):
Net Profit: +1,429% compounded (from $1k to $15k).
Win Rate: 79% (38 wins / 10 losses).
Profit Factor: 3.41.
Max Drawdown: 19.8%.
Perfect for 1m/5m scalping on BTC, ETH, SOL, ADA. No repaint, NA-safe, CPU-optimized.
Limited Copies: 100 Only — Price increases after.
Free 3-day trial available.
Contact for custom setups.
#PineScript #TradingView #CryptoStrategy #MeanReversion"
The Magic MAOverview
The Magic MA is a smart, adaptive trend-following indicator designed to simplify market structure into a single, highly intuitive visual system. It blends multiple dynamic trend signals into one composite output — giving traders a clean view of momentum, direction, and overall trend health at a glance.
Instead of juggling multiple moving averages, The Magic MA condenses them into a unified scoring model that updates in real-time, highlighting when the market is strong, weakening, or about to shift.
How It Works
Powered by a proprietary algorithm, The Magic MA analyzes trend direction and momentum using three core concepts:
- Trend Slope — Are trends strengthening or losing steam?
- Market Positioning — Is price aligned with the dominant direction?
- Relative Trend Structure — Are short-term dynamics supporting or contradicting the larger move?
These components combine into a 0–100 trend score, continuously recalculated to reflect the live market environment.
The system adapts based on volatility and trend consistency — more responsive during strong moves, smoother when markets get noisy.
What You See
The Magic MA Line
A smoothed, adaptive trend baseline:
Green when upward momentum dominates
Red when downward momentum prevails
The Trend Fill
A color-graded zone that reveals trend strength:
Bright Green — Strong uptrend, momentum expanding
Green — Bullish bias, healthy trend
Orange — Neutral / transition zone
Red — Bearish conditions, momentum negative
The fill not only shows direction — its thickness can help gauge conviction in current price movement.
Trend Score Display
A clean scoreboard panel showing current trend strength (0–100) to support quick decision-making.
How To Use It
Trend Bias
Score > 70 → High-probability bullish environment
Score 50–70 → Favor long setups
Score 30–50 → Caution — market may be reversing or consolidating
Score < 30 → Bearish environment — avoid longs or consider shorts
Signal Concepts
Bullish trigger → Score rising above the midline with the Magic MA turning green
Bearish trigger → Score falling below the midline with the Magic MA turning red
Momentum exits → Trend score pulling back from extremes
Best Practices
Align trades with the trend fill direction
Use score shifts to confirm breakouts or reversals
Validate setups with structure levels (S/R, swing highs/lows)
Credits
Core logic draws inspiration from recognized adaptive trend research and digital signal processing techniques, including the work of Kaufman and Ehlers. Code by Alex Orekhov (everget) and LuxAlgo.
HT Sentinel MatrixHT Sentinel Matrix is a HTF liquidity architecture — a sentry that projects the intent of the larger range directly into your execution window.
Instead of guessing where price might be reaching for, the Sentinel Matrix turns the chart into a multi-layered grid of dealing ranges, prior ranges, and refined premium/discount arrays, so you can read context, not candles.
Core Idea
The tool revolves around one premise:
Intraday precision comes from HTF truth.
HT Sentinel Matrix fuses HTF PO3 candles, composite Dealing Ranges (DR), Prior Candles Range (PCR), and a refined Fib matrix into a single, coherent framework you can trade from without clutter.
1. HTF PO3 Candles – The Structural Spine
The HTF PO3 engine builds a stack of HTF candles and projects them to the right of current price:
Automatic timeframe selection relative to your chart (or manual override).
True HTF or Heikin Ashi representation for structural clarity.
Projection of open, high, low, and PO3 data with optional OHLC labels.
Adjustable size, margin, colors, and offset for a minimal yet elegant visual.
This creates a visible structural spine of the dealing range you’re actually trading inside, rather than reacting to noise on your lower timeframe.
2. DR Mode – Composite Dealing Range Engine
Tracks completed HTF candles and the active developing one as well.
Automatically computes DR High, DR Low, DR EQ, DR 25%, and DR 75%.
Optionally extends HTF opens, treating them as structural points of interest.
Projects all levels forward with clean, consistent padding.
The result is a living DR framework that reveals where the true range is being negotiated and which portions are being repriced or accumulated.
3. PCR Mode – Prior Candles Range
Builds a single or stack of prior HTF ranges (PCR1, PCR2, PCR3, etc.).
Plots PH, PL, PEQ with optional 25% and 75% liquidity bands.
Automatically renames and organizes each PCR for clarity.
Shows how current price is interacting with previous HTF footprints.
This gives a true multi-session context showing reclaim, rejection, continuation, or distribution against prior HTF ranges.
4. DR/FIB + PCR – Project a Multi-HTF Liquidity Grid
Up to four HTF ranges plotted simultaneously.
Each HTF range displays PH, PL, PEQ, and optional 25%/75% bands.
Creates a stacked liquidity ladder across multiple HTFs.
This mode highlights multi-timeframe confluence, where DR structure, PCR footprints, and HTF ranges align.
5. FIB Mode – Refined Premium/Discount Matrix
Anchored to the composite HTF range.
Plots unique Fib levels.
Full control over visibility, style, and labeling.
A more precise alternative to generic Fibonacci tools, giving nuanced liquidity brackets for entries, partials, and reversals.
Conceptual Use
HT Sentinel Matrix is not a signal generator — it is an execution environment for traders who think in terms of:
Dealing Ranges, not isolated candles.
Liquidity bands, not random lines.
Multi-timeframe alignment, not single-frame bias.
Use HTF PO3 + DR/FIB to define the larger dealing range, stack PCR to understand HTF footprints, and execute your own model within these structural boundaries.
Disclaimer
This is an analytical tool for educational purposes only. It does not provide signals, financial advice, or guaranteed outcomes. Its edge lies in delivering clarity of context — the rest is your model, your discipline, and your execution.
Shareline Normalized Momentum Indicator V1.5This simple tool shows if a stock is strong or weak. The thick blue line (MACD) tells the direction: up means growing. The purple line (RSI) warns if too expensive (over 70) or cheap (under 30). The gray line with green/red color (CVD) shows if buyers (green) or sellers (red) are winning. Yellow bars (VSI) show trading busyness. In the top-right box: "MOM" number (green over 60 = buy time, red under 40 = sell time) with arrow, and "Trend" (green UP = good rise).
BTC/Gold Power-Law Bands + Quantile OscillatorDescription
This indicator visualizes a set of statistically derived Power-Law bands for the BTC/Gold ratio.
The model is based on a log–log regression of the BTC/Gold ratio over time and a weighted quantile regression that captures the distributional structure of the ratio across several long-term quantiles.
It provides a historical context for where the ratio currently lies relative to these mathematically estimated zones.
This indicator does not perform any new model fitting; it only displays the pre-computed band structure derived from the full historical dataset.
How the model works
This indicator is based on a statistical Power-Law model of the BTC/Gold ratio.
A long-term trend was estimated using a log–log OLS regression, and the deviations from this trend were analyzed through a rolling multi-year volatility measure.
The inverse of this volatility served as the weight for several quantile regression fits, producing robust long-term bands at multiple distribution levels (0.1%, 12.5%, 50%, 80%, 95%, 99.5%).
These quantile curves represent the historical valuation zones of the BTC/Gold ratio.
All final regression coefficients are fixed and embedded into the Pine script, which reconstructs the bands directly on the chart.
The extension of the bands into the future is based solely on the mathematical form of each curve and does not use any future market data.
What the indicator displays
• Six Power-Law quantile bands (0.1%, 12.5%, 50%, 80%, 95%, 99.5%) displayed as stacked colored zones
• BTC/Gold Ratio line
• Future-offset projection curves (mathematical extrapolation of the fitted Power-Laws, not based on future prices)
• Quantile Oscillator: A normalized representation of where the current ratio lies relative to the quantile structure.
How to use it
This indicator is not a timing tool.
It provides a structural, long-term statistical context for the BTC/Gold ratio, showing:
• how extreme a current valuation is relative to long-term history
• where the ratio sits within the Power-Law quantile spectrum
• long-term distribution zones derived from the quantile regressions
• a volatility-weighted representation of historical deviations
It may be useful for long-term cycle studies or ratio-based valuation comparisons, but there is no guarantee that this historical relationship will persist.
Important notes
• This indicator does not repaint.
• All projections are non-predictive mathematical extrapolations.
• This script is designed only for the symbol: BTCUSD/TVC:GOLD (BTC/Gold Ratio)
• It does not provide trading signals, recommendations, or financial advice.
Why closed-source?
The underlying regression model, weighting logic, and quantile estimations were produced externally using Python and constitute the core intellectual component of the study. The Pine version contains only the pre-calculated parameters and the visualization logic.
Shareline SMC Trend Histogram V1.1Shareline SMC Trendhistogram analyzes trends using Smart Money Concepts. Read it like this: Green histogram bars mean upward momentum (buy signal). Red bars mean downward (sell). Green/red main line shows current trend strength. Purple signal line for direction—main crossing above purple signals bull trend start; below signals bear. Table shows component status (green bull, red bear, yellow neutral). Trend Category: Top Bull/Bull (strong/weak up), Neutral (flat), Bear/Top Bear (weak/strong down). Use crossovers for early reversals.
Aamir Sniper Pro – Ultimate Trend & Zone SystemAamir Sniper Pro is a comprehensive, all-in-one trading system designed for traders who demand precision without the noise. This script combines a powerful multi-factor consensus engine with dynamic market structure analysis to provide high-probability entry signals.
Unlike cluttered indicators, this system follows a "Clean Chart" philosophy. It removes unnecessary visual distractions (like candle patterns or complex shapes) and focuses strictly on what matters: Trend, Momentum, Volume, and Key Levels.
Key Features:
Sniper Consensus Engine:
The core of the system is a sophisticated algorithm that aggregates data from multiple trend, momentum, and volatility sources.
It calculates a "Consensus Score" (0-100%) to determine the strength of the market direction.
Signals: Provides clear BUY and SELL signals based on this consensus, filtered to reduce false positives in choppy markets.
Dynamic Support & Resistance Zones:
Automatically identifies and plots high-importance Supply and Demand zones.
These zones update dynamically based on pivot strength, helping you visualize where price is likely to bounce or break out.
Wall Detection: The system alerts you when price is actively rejecting a zone (Double Rejection logic).
Institutional Volume Analysis (PVSRA):
Integrated Whale Volume Detection. The candle colors change dynamically to highlight "Climax" or "Rising" volume.
Helps you spot institutional activity and confirm if a move is backed by real money.
Advanced Momentum Filtering (WAE & QQE):
Includes a built-in filter based on Waddah Attar Explosion (WAE) and QQE Mod logic.
Ensures that signals are only taken when there is sufficient market power and volatility, keeping you out of "dead" or ranging markets.
Smart Money Concepts (SMC) & Structure:
Order Blocks & FVGs: Automatically highlights active Order Blocks and Fair Value Gaps (FVG) to use as targets or entry zones.
Liquidity Sweeps: Identifies Buy-Side (BSL) and Sell-Side (SSL) liquidity levels.
BOS (Break of Structure): Confirms trend continuation.
Real-Time Data Dashboard:
A compact, non-intrusive dashboard displays the current Trend Direction, Confidence Score, Volume Status, and structural warnings (like Traps or Walls) at a glance.
How to Use:
Step 1: Wait for a Buy or Sell Signal label.
Step 2: Check the Dashboard Confidence Score (Higher is better).
Step 3: Confirm with Volume (Look for colored candles indicating Whale activity).
Step 4: Ensure price is not hitting a major Opposite Wall/Zone (e.g., Don't buy directly into a Resistance Zone).
Step 5: Use the suggested TP/SL Lines for trade management.
Note: This indicator is designed to be a complete trading assistant. It works on all timeframes but is optimized for scalping and intraday swings.
Settings:
Entry Mode: Choose between "Instant" (Aggressive) or "Retest" (Safe/Sniper) entries.
Filters: Toggle WAE or BOS requirements on/off based on your trading style.
Visuals: Fully customizable colors and dashboard positioning.
Disclaimer: Use this tool to assist your analysis. Always manage your risk responsibly.
Aamir Sniper Pro – Ultimate Trend & Zone SystemAamir Sniper Pro is a comprehensive, all-in-one trading system designed for traders who demand precision without the noise. This script combines a powerful multi-factor consensus engine with dynamic market structure analysis to provide high-probability entry signals.
Unlike cluttered indicators, this system follows a "Clean Chart" philosophy. It removes unnecessary visual distractions (like candle patterns or complex shapes) and focuses strictly on what matters: Trend, Momentum, Volume, and Key Levels.
Key Features:
Sniper Consensus Engine:
The core of the system is a sophisticated algorithm that aggregates data from multiple trend, momentum, and volatility sources.
It calculates a "Consensus Score" (0-100%) to determine the strength of the market direction.
Signals: Provides clear BUY and SELL signals based on this consensus, filtered to reduce false positives in choppy markets.
Dynamic Support & Resistance Zones:
Automatically identifies and plots high-importance Supply and Demand zones.
These zones update dynamically based on pivot strength, helping you visualize where price is likely to bounce or break out.
Wall Detection: The system alerts you when price is actively rejecting a zone (Double Rejection logic).
Institutional Volume Analysis (PVSRA):
Integrated Whale Volume Detection. The candle colors change dynamically to highlight "Climax" or "Rising" volume.
Helps you spot institutional activity and confirm if a move is backed by real money.
Advanced Momentum Filtering (WAE & QQE):
Includes a built-in filter based on Waddah Attar Explosion (WAE) and QQE Mod logic.
Ensures that signals are only taken when there is sufficient market power and volatility, keeping you out of "dead" or ranging markets.
Smart Money Concepts (SMC) & Structure:
Order Blocks & FVGs: Automatically highlights active Order Blocks and Fair Value Gaps (FVG) to use as targets or entry zones.
Liquidity Sweeps: Identifies Buy-Side (BSL) and Sell-Side (SSL) liquidity levels.
BOS (Break of Structure): Confirms trend continuation.
Real-Time Data Dashboard:
A compact, non-intrusive dashboard displays the current Trend Direction, Confidence Score, Volume Status, and structural warnings (like Traps or Walls) at a glance.
How to Use:
Step 1: Wait for a Buy or Sell Signal label.
Step 2: Check the Dashboard Confidence Score (Higher is better).
Step 3: Confirm with Volume (Look for colored candles indicating Whale activity).
Step 4: Ensure price is not hitting a major Opposite Wall/Zone (e.g., Don't buy directly into a Resistance Zone).
Step 5: Use the suggested TP/SL Lines for trade management.
Note: This indicator is designed to be a complete trading assistant. It works on all timeframes but is optimized for scalping and intraday swings.
Settings:
Entry Mode: Choose between "Instant" (Aggressive) or "Retest" (Safe/Sniper) entries.
Filters: Toggle WAE or BOS requirements on/off based on your trading style.
Visuals: Fully customizable colors and dashboard positioning.
Disclaimer: Use this tool to assist your analysis. Always manage your risk responsibly.
BURAK KRİPTO AL - SAT BOTUBURAK CRYPTO BUY-SELL BOT — Designed for high performance in crypto markets!This strategy is built on a powerful algorithm optimized with years of real trading experience. It follows trends while perfectly catching buy-at-the-bottom and sell-at-the-top opportunities.Main Features:
Trend direction detection with EMA + SMA combination
Overbought/oversold filters using RSI and Stochastic
Volume confirmation (volume breakout filter included)
ATR-based dynamic stop loss and take profit
Sideways market filter — prevents unnecessary trades
Works on all cryptocurrencies (BTCUSDT, ETHUSDT, SOLUSDT, XRPUSDT, etc.)
Both long and short signals (can be turned off separately)
High win rate and excellent profit factor in backtests Who is it for?Daily and swing traders
Spot and futures traders
Those who want to run fully automated bots (easily connected via alerts to 3Commas, Pionex, Bitsgap, etc.)
How to use:Add the script to your chart
Create an alert → “Alert on BURAK CRYPTO BUY-SELL BOT”
In the alert message field, write: For buy: BUY {{ticker}}
For sell: SELL {{ticker}}
Connect to your bot and let it do the rest automatically!
Disclaimer: No strategy guarantees 100% profit. Always apply your own risk management. Past performance is not indicative of future results.If you like it, don’t forget to hit the Like button and leave a comment! ♡
Any questions? Drop them in the comments — I reply as fast as possible!#crypto #bitcoin #tradingbot #tradingview #signals #altsat






















