VaultSignal Pro Weekly v07Key Features of This Indicator:
Time frame- Weekly
1. Volume and Price Based:
Get clean and reliable Buy, Half Sell, and Full Sell signals based on carefully optimized according to volume and price for weekly strategies. Signal Valid after Candle Closed.
2. Trend Lights (Table Display):
Visual Trend confirmation system — shows Green (Bullish) and Red (Bearish) lights directly on the chart via a compact table. Helps filter trades with momentum.
3. Automatic Support & Resistance Zones:
Instantly detect major Upper Resistance and Lower Support levels drawn dynamically — no manual plotting needed. Auto-updated based on higher timeframe zones or according to user need.
4. Trend Confirmation Filters: Like Volume
Avoid fakeout traps — signals are filtered using the Volume and Distance between key EMAs to reduce noise.
5. Consolidation Zone Detection:
Automatically identifies sideways market zones where EMAs are tightly clustered — alerts you to avoid entries in choppy or indecisive markets.Help to Place Take profit and Stoploss accordingly.
6. Stoploss and Takeprofit based on Weekly range Display:
Calculates and displays the Average Range (AR%) for the current week, helping you assess volatility and set targets/stop losses accordingly.
7. Exit Signals & Reversals:
Built-in Exit logic to provide timely exits and detect trend reversals — ideal for swing traders.
Who Should Use This?
Swing Traders looking for weekly confirmation
Positional Investors needing strong entry/exit timing
Traders avoiding whipsaws and seeking strong momentum-based setups
Anyone using a confluence of price action and support/resistance in their strategy.
“Access to this script is paid. DM for more info.”
Or contact via Telegram - t.me
Disclaimer : We and our private indicator are not registered with SEBI (India), the SEC (U.S. Securities and Exchange Commission), or any other financial regulatory authority. The information provided is purely for educational and informational purposes and does not constitute financial or investment advice. Please consult a registered financial advisor before making any investment decisions.
Candlestick analysis
VaultSignal Pro Weekly v05Key Features of This Indicator:
1. Volume and Price Based:
Get clean and reliable Buy, Half Sell, and Full Sell signals based on carefully optimized according to volume and price for weekly strategies.
2. MACD Trend Lights (Table Display):
Visual MACD confirmation system — shows Green (Bullish) and Red (Bearish) lights directly on the chart via a compact table. Helps filter trades with momentum.
3. Automatic Support & Resistance Zones:
Instantly detect major Upper Resistance and Lower Support levels drawn dynamically — no manual plotting needed. Auto-updated based on higher timeframe zones.
4. Trend Confirmation Filters:
Avoid sideways traps — signals are filtered using the distance between key EMAs to reduce noise when EMAs are tightly packed.
5. Consolidation Zone Detection:
Automatically identifies sideways market zones where EMAs are tightly clustered — alerts you to avoid entries in choppy or indecisive markets.
6. Stoploss and Takeprofit based on Weekly range Display:
Calculates and displays the Average Range (AR%) for the current week, helping you assess volatility and set targets/stop losses accordingly.
7. Exit Signals & Reversals:
Built-in Exit EMA logic to provide timely exits and detect trend reversals — ideal for swing traders.
Who Should Use This?
Swing Traders looking for weekly confirmation
Positional Investors needing strong entry/exit timing
Traders avoiding whipsaws and seeking strong momentum-based setups
Anyone using a confluence of price action, MACD, and support/resistance in their strategy.
Disclaimer : We and our private indicator are not registered with SEBI (India), the SEC (U.S. Securities and Exchange Commission), or any other financial regulatory authority. The information provided is purely for educational and informational purposes and does not constitute financial or investment advice. Please consult a registered financial advisor before making any investment decisions.
Combined 3-Bar Pattern + Price Oscillator Zero-Cross (Shading)These signals are provided for educational purposes only and do not constitute financial advice or a recommendation to buy or sell.
ETH True CB PremiumThis indicator calculates and visualizes the “true premium” or discount between Coinbase and Binance spot prices for ETH, accurately accounting for any decoupling between USD and USDT.
Coinbase ETHUSD is quoted in USD.
Binance ETHUSDT is quoted in USDT.
The indicator uses the current USDT/USD spot rate (COINBASE:USDTUSD) to convert Binance’s ETH price into USD terms, ensuring an accurate premium calculation even if USDT and USD are not exactly 1:1.
Multi-Timeframe Resonance v2.0📌 Multi-Timeframe Resonance System — Identify trend, range, and turning points at a glance
✨ Core Advantages:
🔹 Multi-timeframe resonance analysis: Detects trend direction and range across timeframes. Helps identify M tops, W bottoms, consolidation turning points, and trend switches.
🔹 Clear phase visualization: Highlights trend momentum (green) and consolidation zones (red).
🔹 Universally compatible: Works on stocks/ETFs, futures/commodities, forex, gold, crypto — parameter tuning is the only requirement.
🎯 Target Users:
✅ Traders needing fast structure analysis
✅ Trend-followers, swing traders, or range-arbitrageurs
✅ Multi-timeframe analysts & volume researchers
✅ Quant teams seeking stable signal output
📈 Market Structure Evolution Sequence:
**Same-Bear → Small Box Bull → Medium Box Bull → Large Box Bull → Same-Bull → Small Box Bear → Medium Box Bear → Large Box Bear → Same-Bear**
- “Same-Bear”/“Same-Bull”: full agreement among timeframes,strongest trend stages.
- “Small/Medium/Large Box”: represent increasing-level consolidations indicating trend emergence or turn.
🔍 By identifying the current structure phase, traders can determine if:
- The market is in the **early trend stage** (Same-Bull/Same-Bear)
- Or in a **trend shift period** (Bear→Bull or Bull→Bear)
- Or still **oscillating** (structures switching)
⚠️ **Practical Note:**
Although structure usually follows the sequence above, in strong or volatile moves it may:
- **Skip steps** (e.g., Same-Bear → Large Box Bull)
- **Switch rapidly** within a few candles
Traders should use volume, candle patterns, and higher-timeframe trends to confirm valid structure changes or avoid false breakouts.
📌 Execution Logic:
This indicator applies **multi-timeframe resonance** to capture **trend pullbacks**:
- Identifies trend direction via higher timeframes
- Uses pullback in shorter timeframe to signal entry
- Executes trend-following trades at pullback points
- Protects with structured stop-loss based on higher timeframe structure
🔒 This is a protected script. For access details, please see the Author’s Instructions.
📌 多周期共振识别系统 — 趋势、震荡与拐点,一目了然
✨ 核心优势:
🔹 多周期共振分析:同时检测多个周期的趋势方向与震荡结构,辅助识别 M 顶 / W 底 / 震荡拐点 / 趋势转换等关键信号。
🔹 趋势与震荡清晰可视:自动高亮趋势推进(绿色)与震荡盘整(红色)区域,一眼看清市场节奏。
🔹 全品种通用:适配股票 / ETF、期货 / 商品、外汇 / 黄金、加密货币等市场,仅需轻微参数微调。
🎯 适用人群:
✅ 需要快速识别图表结构的交易者
✅ 趋势跟随者、波段捕捉者、震荡套利者
✅ 热衷于多周期分析与量能行为研究的交易者
✅ 追求稳定信号输出的量化策略团队
📈 市场结构演变路径:
同空 → 小箱多 → 中箱多 → 大箱多 → 同多 → 小箱空 → 中箱空 → 大箱空 → 同空
“同空” / “同多”:表示多周期趋势完全一致,代表趋势最强阶段
“小箱 / 中箱 / 大箱”:代表不同级别的震荡结构,结构逐步递进,表示趋势正在酝酿或转向
🔍 通过识别当前所处的结构阶段,交易者可以判断:
当前是否处于趋势初期阶段(如同空 / 同多)
是否处于趋势转换区间(如由空转多或由多转空)
或仍处于震荡反复区间(结构频繁切换)
⚠️ 实战提醒:
虽然市场结构通常遵循上述顺序演化,但在强趋势或剧烈波动行情下,可能出现以下情况:
跳跃演化(如从“同空”直接进入“大箱多”阶段)
快速切换(几根K线内连续跳过多个结构)
因此,交易者应结合量能、K线形态及更高周期趋势,判断结构变化是否“有效”或为“假突破”。
📌 执行逻辑:
本指标通过多周期趋势共振确认,捕捉趋势中的回踩机会:
利用高阶周期判断趋势方向
在低阶周期的回踩位置作为进场信号
顺势交易,捕捉主趋势中的低吸 / 高抛机会
止损位置依据上位周期结构确认,明确清晰
🔒 本脚本为受控授权版本,如需获取使用权限,请参阅“作者说明”。
aiTrendview.com Option Calculator📊 aiTrendview Option Calculator - Complete Feature Guide
🎯 Overview
The aiTrendview Option Calculator is a comprehensive, professional-grade options trading dashboard that integrates live market data with advanced Black-Scholes pricing models and intelligent strategy recommendations. It transforms complex options analysis into an intuitive, visual interface for both novice and professional traders.
________________________________________
🎛️ Dashboard Settings & Customization
________________________________________
📋 Option Inputs - The Foundation
Strike Price (105 in example)
• Function: The contract's exercise price
• Analysis Impact: Determines moneyness (ITM/OTM status)
• Risk Assessment: Affects delta, probability of profit, and breakeven calculations
• Strategy Selection: Critical for spread strategies and risk/reward optimization
Days to Expiry (30 in example)
• Function: Time until option expiration
• Analysis Impact: Drives time decay (theta) calculations
• Risk Assessment: More days = higher time value but slower decay
• Strategy Selection: Short-term strategies favor <30 days, long-term >45 days
Risk Free Rate (5% in example)
• Function: Current treasury rate for theoretical pricing
• Analysis Impact: Affects all Greeks calculations and fair value pricing
• Risk Assessment: Higher rates increase call values, decrease put values
• Strategy Selection: Impacts carry strategies and early exercise decisions
Implied Volatility (25% in example)
• Function: Market's expectation of future price movement
• Analysis Impact: Primary driver of option premium
• Risk Assessment: High IV = expensive options, low IV = cheap options
• Strategy Selection: Determines whether to buy or sell premium
Option Type (Call/Put)
• Function: Directional bias selection
• Analysis Impact: Reverses delta sign and profit zones
• Risk Assessment: Calls profit from upward moves, puts from downward moves
• Strategy Selection: Foundation for all directional and neutral strategies
________________________________________
📊 Live Market Data Integration
Real-Time Price Feed
• Current Underlying Price: Live market price with percentage change
• Volume Analysis: Current volume vs. 20-day average (shows as multiplier like "1.5x")
• Price Momentum: Tracks intraday price movements
• Volatility Assessment: Uses VIX data or ATR-based calculations
________________________________________
🔢 The Greeks - Risk Metrics
Delta (Price Sensitivity)
• Range: -1.00 to +1.00
• Call Delta: 0 to +1 (positive exposure)
• Put Delta: -1 to 0 (negative exposure)
• Trading Use: Hedge ratio, directional exposure measurement
• Progress Bar: Visual representation of sensitivity strength
Gamma (Delta Acceleration)
• Function: Rate of delta change
• Peak: Highest at-the-money
• Trading Use: Risk management for large moves
• Display: Multiplied by 1000 for readability
Theta (Time Decay)
• Function: Daily premium erosion
• Always Negative: For long positions
• Trading Use: Time-based strategy selection
• Critical: Accelerates in final 30 days
Vega (Volatility Sensitivity)
• Function: Premium change per 1% IV change
• Trading Use: Volatility play strategies
• Risk Management: IV crush protection
• Strategy Selection: Buy low IV, sell high IV
Rho (Interest Rate Sensitivity)
• Function: Premium change per 1% rate change
• Less Critical: For short-term options
• Important: For LEAPS and rate-sensitive underlyings
________________________________________
📈 Market Analysis Section
Sentiment Analysis
• Bullish: PCR < 0.8 (more calls than puts)
• Bearish: PCR > 1.2 (more puts than calls)
• Neutral: PCR 0.8-1.2 (balanced activity)
• Calculation: Based on volume ratio and RSI momentum
Volume Analysis
• Current vs. Average: Spots unusual activity
• Ratio Display: Shows volume multiplier (e.g., "2.3x normal")
• Trading Signal: High volume confirms moves, low volume suggests consolidation
Risk Level Assessment
• Low: IV < 25% (cheap options)
• Medium: IV 25-40% (fairly valued)
• High: IV > 40% (expensive options)
• Color Coded: Green/Yellow/Red for quick identification
________________________________________
⚡ Strategy Recommendation Engine
Intelligent Analysis
The calculator analyzes 6 core strategies based on current market conditions:
1. Long Call: Best for bullish sentiment + low IV
2. Short Put: Best for bullish sentiment + high IV
3. Long Put: Best for bearish sentiment + low IV
4. Bull Call Spread: Best for moderate bullish moves
5. Long Straddle: Best for high volatility expected + low IV
6. Iron Butterfly: Best for neutral sentiment + high IV + low expected move
Scoring System
• Confidence Score: 0-100% based on market conditions
• Color Coding: Green (80%+), Yellow (60-80%), Red (<60%)
• Dynamic Updates: Recalculates with every price change
________________________________________
📊 Progress Bar Visualizations
Delta Strength: Visual representation of directional exposure
Time Decay: Days remaining until expiration
IV Level: Current implied volatility relative to extremes
Volume Activity: Current volume vs. historical average
Profit Probability: Calculated odds of profitable outcome
________________________________________
🎯 How to Achieve Risk-Optimized Trading
Step 1: Market Analysis
1. Check Sentiment: Is market bullish, bearish, or neutral?
2. Assess IV Level: Are options cheap, fair, or expensive?
3. Volume Confirmation: Is there institutional interest?
4. Time Frame: How many days until expiration?
Step 2: Strategy Selection
The calculator automatically recommends the highest probability strategy based on:
• Current market sentiment
• IV environment
• Expected move percentage
• Time to expiration
• Risk/reward optimization
Step 3: Risk Management Setup
For Long Strategies (Buying Options)
• Best When: IV rank is low (green), high probability score
• Risk Control: Maximum loss is premium paid
• Time Management: Avoid last 2 weeks before expiration
• Profit Taking: Close at 50% profit or 25% time decay
For Short Strategies (Selling Options)
• Best When: IV rank is high (red), neutral sentiment
• Risk Control: Use defined risk spreads
• Time Advantage: Target last 45 days
• Profit Taking: Close at 50% max profit
For Neutral Strategies
• Best When: Low expected move + high IV
• Risk Management: Iron butterflies and condors
• Time Decay: Benefits from theta decay
• Adjustment: Have roll/adjust plan ready
Step 4: Execution Guidelines
High Confidence Trades (80%+ Score)
• Position Size: Standard risk allocation
• Entry: Immediate execution
• Management: Hold to target or 21 DTE
Medium Confidence Trades (60-80% Score)
• Position Size: Reduced allocation
• Entry: Wait for better setup or confirmation
• Management: Tighter profit/loss targets
Low Confidence Trades (<60% Score)
• Action: Avoid or wait for better conditions
• Alternative: Consider opposite strategy
• Patience: Wait for higher probability setup
________________________________________
🔍 Real-Time Risk Monitoring
Live Greeks Tracking
• Delta Neutral: Maintain overall portfolio delta near zero
• Gamma Risk: Monitor acceleration risk on large moves
• Theta Decay: Track daily time value erosion
• Vega Exposure: Hedge volatility risk when needed
Probability Metrics
• Profit Probability: Statistical odds of profitable outcome
• Expected Move: Price range for 68% probability
• Breakeven Analysis: Exact price needed for profitability
• Time Value: Separation of intrinsic vs. extrinsic value
________________________________________
💡 Professional Trading Tips
Market Environment Adaptation
• Low IV Environment: Buy straddles, strangles, long options
• High IV Environment: Sell premium, iron condors, credit spreads
• Trending Markets: Directional strategies with trend
• Range-Bound Markets: Neutral strategies, short premium
Risk Management Rules
1. Never risk more than 2% of capital per trade
2. Close losing trades at 2x premium received (short) or 50% loss (long)
3. Take profits at 50% of maximum potential
4. Avoid earnings announcements unless specifically trading volatility
5. Have exit plan before entry
________________________________________
🎯 Achieving "Risk-Free" Trading
While no trading is truly risk-free, the calculator helps minimize risk through:
High Probability Setups
• Only trade strategies with 70%+ confidence scores
• Confirm with multiple indicators (sentiment, IV, volume)
• Use proper position sizing
Statistical Edge
• Mean reversion strategies in extreme IV environments
• Time decay advantages in short premium strategies
• Probability-based position sizing
Risk Mitigation
• Defined risk strategies only
• Proper diversification across time and strikes
• Systematic profit taking and loss cutting
• Continuous monitoring and adjustment
________________________________________
📊 Dashboard Interpretation Guide
Green Signals (Go)
• High strategy confidence score
• Favorable IV environment for strategy
• Strong volume confirmation
• Clear directional bias
Yellow Signals (Caution)
• Medium confidence scores
• Mixed market signals
• Average volume activity
• Reduce position size
Red Signals (Stop)
• Low confidence scores
• Unfavorable conditions
• Low volume/poor liquidity
• Wait for better setup
________________________________________
The aiTrendview Option Calculator transforms complex options analysis into actionable trading intelligence, helping traders make informed decisions based on mathematical models, live market data, and statistical probabilities rather than emotions or guesswork.
Multi-Timeframe Resonance v2.0📌 Multi-Timeframe Resonance System — Identify trend, range, and turning points at a glance
✨ Core Advantages:
🔹 Multi-timeframe resonance analysis: Detects trend direction and range across timeframes. Helps identify M tops, W bottoms, consolidation turning points, and trend switches.
🔹 Clear phase visualization: Highlights trend momentum (green) and consolidation zones (red).
🔹 Universally compatible: Works on stocks/ETFs, futures/commodities, forex, gold, crypto — parameter tuning is the only requirement.
🎯 Target Users:
✅ Traders needing fast structure analysis
✅ Trend-followers, swing traders, or range-arbitrageurs
✅ Multi-timeframe analysts & volume researchers
✅ Quant teams seeking stable signal output
📈 Market Structure Evolution Sequence:
**Same-Bear → Small Box Bull → Medium Box Bull → Large Box Bull → Same-Bull → Small Box Bear → Medium Box Bear → Large Box Bear → Same-Bear**
- “Same-Bear”/“Same-Bull”: full agreement among timeframes,strongest trend stages.
- “Small/Medium/Large Box”: represent increasing-level consolidations indicating trend emergence or turn.
🔍 By identifying the current structure phase, traders can determine if:
- The market is in the **early trend stage** (Same-Bull/Same-Bear)
- Or in a **trend shift period** (Bear→Bull or Bull→Bear)
- Or still **oscillating** (structures switching)
⚠️ **Practical Note:**
Although structure usually follows the sequence above, in strong or volatile moves it may:
- **Skip steps** (e.g., Same-Bear → Large Box Bull)
- **Switch rapidly** within a few candles
Traders should use volume, candle patterns, and higher-timeframe trends to confirm valid structure changes or avoid false breakouts.
📌 Execution Logic:
This indicator applies **multi-timeframe resonance** to capture **trend pullbacks**:
- Identifies trend direction via higher timeframes
- Uses pullback in shorter timeframe to signal entry
- Executes trend-following trades at pullback points
- Protects with structured stop-loss based on higher timeframe structure
🔒 This is a protected script. For access details, please see the Author’s Instructions.
📌 多周期共振识别系统 — 趋势、震荡与拐点,一目了然
✨ 核心优势:
🔹 多周期共振分析:同时检测多个周期的趋势方向与震荡结构,辅助识别 M 顶 / W 底 / 震荡拐点 / 趋势转换等关键信号。
🔹 趋势与震荡清晰可视:自动高亮趋势推进(绿色)与震荡盘整(红色)区域,一眼看清市场节奏。
🔹 全品种通用:适配股票 / ETF、期货 / 商品、外汇 / 黄金、加密货币等市场,仅需轻微参数微调。
🎯 适用人群:
✅ 需要快速识别图表结构的交易者
✅ 趋势跟随者、波段捕捉者、震荡套利者
✅ 热衷于多周期分析与量能行为研究的交易者
✅ 追求稳定信号输出的量化策略团队
📈 市场结构演变路径:
同空 → 小箱多 → 中箱多 → 大箱多 → 同多 → 小箱空 → 中箱空 → 大箱空 → 同空
“同空” / “同多”:表示多周期趋势完全一致,代表趋势最强阶段
“小箱 / 中箱 / 大箱”:代表不同级别的震荡结构,结构逐步递进,表示趋势正在酝酿或转向
🔍 通过识别当前所处的结构阶段,交易者可以判断:
当前是否处于趋势初期阶段(如同空 / 同多)
是否处于趋势转换区间(如由空转多或由多转空)
或仍处于震荡反复区间(结构频繁切换)
⚠️ 实战提醒:
虽然市场结构通常遵循上述顺序演化,但在强趋势或剧烈波动行情下,可能出现以下情况:
跳跃演化(如从“同空”直接进入“大箱多”阶段)
快速切换(几根K线内连续跳过多个结构)
因此,交易者应结合量能、K线形态及更高周期趋势,判断结构变化是否“有效”或为“假突破”。
📌 执行逻辑:
本指标通过多周期趋势共振确认,捕捉趋势中的回踩机会:
利用高阶周期判断趋势方向
在低阶周期的回踩位置作为进场信号
顺势交易,捕捉主趋势中的低吸 / 高抛机会
止损位置依据上位周期结构确认,明确清晰
🔒 本脚本为受控授权版本,如需获取使用权限,请参阅“作者说明”。
money printerDescription: Combined Random & Regression Cross Signal Generator with Advanced Filtering and Management Table
This advanced indicator generates high-quality buy and sell signals based on two mathematically robust, logic-driven methods—Randomized Direction (with optional regression correction) and Regression Line Cross Confirmation—each filtered for true market activity and disciplined trade execution.
Signal Generation Logic
Random Signal Source
Generates a buy or sell signal at a user-defined interval (every N bars), using a robust pseudo-random number generator.
Optionally applies regression correction: If enabled, the signal is overridden to match the direction of the linear regression trend, adding a dynamic “smart filter” to the randomness.
Signals are color-coded:
Green/Red: Pure random
Blue/Orange: Corrected by regression
Regression Cross Confirmation Source
Detects genuine trend shifts by waiting for a candle to cross the linear regression line (from below to above or above to below), then requires two consecutive strong candles (bullish or bearish) to confirm the breakout.
Plots a buy (fuchsia) or sell (purple) only after strict double confirmation, filtering out “fake” breaks and weak trend changes.
Unified No-Repeat Logic
Ensures discipline:
Never plots consecutive buy or consecutive sell signals, regardless of which method generated the last trade.
The script tracks the last signal direction and blocks same-type repeats, reducing overtrading in choppy conditions.
Market Activity & Quality Filters
ATR Filter:
Ensures that signals are only taken in periods of sufficient volatility.
Blocks signals if current volatility (ATR) is too low compared to recent averages.
Body Size Filter:
Blocks trades on “weak” or indecisive bars (small candle bodies).
Ensures only strong, high-momentum candles can trigger signals.
Trade Management Table
A dynamic table (bottom-right of your chart) displays the current SL (Stop Loss) and three TP (Take Profit) levels for both long and short trades.
Calculations use user-defined multipliers applied to the current ATR value for maximum adaptability across timeframes and assets.
Alert System
Unified alerts:
One for all buy signals (of any type), one for all sell signals.
Each alert message includes the symbol and the chart’s timeframe for easy cross-market monitoring.
Works perfectly with TradingView’s webhook and notification system.
Visual Scheme
Random Buy: Green
Random Buy (Corrected): Blue
Regression Cross Buy: Fuchsia
Random Sell: Red
Random Sell (Corrected): Orange
Regression Cross Sell: Purple
Customization & Controls
All key logic and filters are fully adjustable:
Signal interval, regression length, ATR/body filter thresholds, correction toggle, and TP/SL multipliers.
Linear regression line can be shown/hidden for visual clarity.
Best For
Spot gold (XAUUSD) and other assets where classic volume is unavailable or unreliable.
Traders who want to combine mathematical randomness, robust trend confirmation, and strict quality controls—plus clear risk/reward management.
How to Use
Adjust filter and trade settings for your symbol and timeframe.
Watch for colored signals and check the TP/SL table for management.
Set up two alerts (buy/sell) for instant notifications with timeframe.
This script is a powerful, flexible, and disciplined trading tool—perfect for active traders who want both mathematical edge and chart-based confirmation!
Dudix 1-2-3 TABELKA lot (EMA238)This indicator is designed to detect 1-2-3 reversal patterns within a clearly defined trend, using a triple EMA filter (EMA 20, EMA 50, and EMA 238).
By requiring that the EMAs be aligned (e.g., EMA 20 > EMA 50 > EMA 238 for an uptrend), the script effectively avoids false signals during sideways/consolidation phases, focusing only on entries in the direction of the dominant trend.
It highlights both Bullish 1-2-3 and Bearish 1-2-3 formations based on price structure and EMA positioning.
Additionally, the indicator includes a customizable point-distance calculator that shows how far the current candle’s close is from the EMA 50, helping traders gauge momentum or entry timing. The point size can be adjusted (e.g., 0.00001 for GBPUSD or 0.01 for JPY pairs) directly from the settings panel.
✅ Ideal for scalpers and intraday traders who want to:
Trade with the trend
Avoid chop and consolidation
Enter on price confirmation patterns
🔍 Candle Scanner (75m/D/W/M) + Volume + EMA + Trend//@version=5
indicator("🔍 Candle Scanner (75m/D/W/M) + Volume + EMA + Trend", overlay=true)
is75min = timeframe.period == "75"
// Time Slot Logic for 75-min only
startTime = timestamp("Asia/Kolkata", year, month, dayofmonth, 9, 15)
candle75 = math.floor((time - startTime) / (75 * 60 * 1000)) + 1
candleNo = is75min and candle75 >= 1 and candle75 <= 5 ? candle75 : na
getTimeSlot(n) =>
slot = ""
if n == 1
slot := "09:15–10:30"
else if n == 2
slot := "10:30–11:45"
else if n == 3
slot := "11:45–13:00"
else if n == 4
slot := "13:00–14:15"
else if n == 5
slot := "14:15–15:30"
slot
// EMA Filters
ema20 = ta.ema(close, 20)
ema50 = ta.ema(close, 50)
aboveEMA20 = close > ema20
aboveEMA50 = close > ema50
// Volume Strength
avgVol = ta.sma(volume, 20)
volStrength = volume > avgVol ? "High Volume" : "Low Volume"
// Candle Body Strength
bodySize = math.abs(close - open)
fullSize = high - low
bodyStrength = fullSize > 0 ? (bodySize / fullSize > 0.6 ? "Strong Body" : "Small Body") : "Small Body"
// Prior Trend
priorTrend = close < close and close < close ? "Downtrend" :
close > close and close > close ? "Uptrend" : "Sideways"
// Patterns
bullishEngulfing = close > open and close < open and close > open and open < close
bearishEngulfing = close < open and close > open and close < open and open > close
hammer = (high - low) > 3 * bodySize and (close - low) / (0.001 + high - low) > 0.6 and (open - low) / (0.001 + high - low) > 0.6
shootingStar = (high - low) > 3 * bodySize and (high - close) / (0.001 + high - low) > 0.6 and (high - open) / (0.001 + high - low) > 0.6
doji = bodySize <= fullSize * 0.1
morningStar = close < open and bodySize < (high - low ) * 0.3 and close > (open + close ) / 2
eveningStar = close > open and bodySize < (high - low ) * 0.3 and close < (open + close ) / 2
// Pattern Selection
pattern = ""
sentiment = ""
colorBox = color.gray
yOffset = 15
if bullishEngulfing
pattern := "Bull Engulfing"
sentiment := "Bullish"
colorBox := color.green
yOffset := -15
else if bearishEngulfing
pattern := "Bear Engulfing"
sentiment := "Bearish"
colorBox := color.red
yOffset := 15
else if hammer
pattern := "Hammer"
sentiment := "Bullish"
colorBox := color.green
yOffset := -15
else if shootingStar
pattern := "Shooting Star"
sentiment := "Bearish"
colorBox := color.red
yOffset := 15
else if doji
pattern := "Doji"
sentiment := "Neutral"
colorBox := color.gray
yOffset := 15
else if morningStar
pattern := "Morning Star"
sentiment := "Bullish"
colorBox := color.green
yOffset := -15
else if eveningStar
pattern := "Evening Star"
sentiment := "Bearish"
colorBox := color.red
yOffset := 15
timeSlot = is75min and not na(candleNo) ? getTimeSlot(candleNo) : ""
info = pattern != "" ? "🕒 " + (is75min ? timeSlot + " | " : "") + pattern + " (" + sentiment + ") | " + volStrength + " | " + bodyStrength + " | Trend: " + priorTrend + " | EMA20: " + (aboveEMA20 ? "Above" : "Below") + " | EMA50: " + (aboveEMA50 ? "Above" : "Below") : ""
// Label Draw
var label lb = na
if info != ""
lb := label.new(bar_index, high + yOffset, text=info, style=label.style_label_down, textcolor=color.white, size=size.small, color=colorBox)
label.delete(lb )
// Smart Alert
validAlert = pattern != "" and (volStrength == "High Volume") and bodyStrength == "Strong Body" and (aboveEMA20 or aboveEMA50)
alertcondition(validAlert, title="📢 Smart Candle Alert", message="Smart Alert: Candle with Volume + EMA + Trend + Pattern Filtered")
Key Levels**Key Levels** is a multifunctional price action tool that helps traders identify and visualize important market structures. It combines advanced detection methods to highlight **Breakaway Gaps (BAGs)**, **Volume Imbalances (VIs)**, and **Failure Swings (FS)**—offering insight into key price areas where momentum shifts or liquidity imbalances may exist.
---
### 🔍 **Core Features**
#### 🟢 Breakaway Gaps (BAG)
* Detects gaps formed during strong momentum following a **structure break**.
* Uses swing-based logic (inspired by LuxAlgo-style) to confirm breaks and highlights unfilled gaps with shaded boxes.
* Gaps are auto-removed once price closes beyond the gap boundary.
#### 📊 Volume Imbalances (VI)
* Identifies bullish and bearish volume imbalance zones using multi-bar logic.
* Boxes extend to the right and are removed when the imbalance is considered filled.
* Helps locate thinly traded zones that may act as **support/resistance**.
#### 🔁 Failure Swings (FS)
* Highlights failed attempts to break recent highs/lows, marking them with **horizontal signal lines** (BSL/SSL).
* Tracks price interaction with these levels and visually fades or deletes them based on proximity or invalidation.
* Useful for identifying **liquidity hunts** or **false breakouts**.
---
### ⚙️ **Customizable Settings**
* Toggle individual features: BAGs, VIs, FS.
* Control maximum number of elements per type.
* Adjust:
* Box colors, label sizes, transparency.
* Swing and gap detection lengths.
* Line thickness and spacing sensitivity.
---
### 🔔 **Alerts**
This version does not include alert conditions directly in the script, but visual objects update in real-time for discretionary analysis.
---
### 📈 Use Cases
* Highlight unfilled inefficiencies for mean reversion strategies.
* Track momentum shifts after structural breaks.
* Identify and respond to failed swing attempts near recent highs/lows.
* Inform stop-loss/entry placement near key technical levels.
---
### ✅ Notes
* Built with **Pine Script v6**
* Lightweight, real-time, and non-repainting.
* Designed for use across all markets and timeframes.
---
### 📚 Disclaimer
This script is a **technical tool** intended for educational and analytical purposes only. It does **not provide financial advice** or guaranteed trade signals.
signaturesThe **"Signatures"** indicator is a price action tool designed to detect two types of key market behaviors: **weak swing points** and **flat price levels**. These features help traders identify potential reversal areas and significant structural zones in the market.
---
### 🔍 **Features:**
#### 1. **Weak Swing Points**
* **Weak Swing Highs**: Formed when the middle candle in a 3-bar pattern has the highest high and closes **bearishly**.
* **Weak Swing Lows**: Formed when the middle candle in a 3-bar pattern has the lowest low and closes **bullishly**.
* These swing points are marked with ✕ symbols on the chart and auto-remove when price invalidates them (closes through the level).
#### 2. **Flat Levels**
* **Flat Tops**: Highlight candles with **no upper wick**, suggesting supply absorption or resistance.
* **Flat Bottoms**: Highlight candles with **no lower wick**, suggesting demand absorption or support.
* Draws horizontal lines from these points, extended rightward, and automatically cleans them up when price breaches them.
---
### ⚙️ **Customizable Inputs:**
* Toggle display of:
* Weak swing highs/lows
* Flat levels
* Set maximum number of:
* Flat tops/bottoms to be drawn
* Customize:
* X mark colors for weak swings
* Line colors, width, and extension length for flat levels
---
### 🛠️ **Automatic Clean-Up Logic**
All elements (X marks and lines) are removed dynamically when price invalidates them:
* Close **above** a weak swing high or flat top level
* Close **below** a weak swing low or flat bottom level
---
### 🔔 **Alerts Available:**
* Weak Swing High detected
* Weak Swing Low detected
* Flat Top Level created
* Flat Bottom Level created
The Devils Mark [TakingProphets]“The Devil’s Mark” is a subtle yet deadly point of interest on the chart—where price has a habit of coming back to die.
Built around a deceptively simple condition, this tool marks highly reactive levels that often act as short-term magnets for price.
Whether you're trading reversals, continuations, or looking to refine sniper entries, the Devil’s Mark offers a clean way to anticipate potential retracements and engineered liquidity sweeps. It doesn't rely on indicators, oscillators, or moving averages—just raw price action logic that repeats day after day.
🔥 What It Does
The Devil’s Mark identifies a candle where the open equals either the high or the low—a specific structure known to frequently draw price back for manipulation, inducement, or mitigation.
Once identified, it marks the level with a custom emoji (😈 by default) and—optionally—a horizontal line extending forward. When price returns and reacts to this level, the mark self-deletes to keep your chart clean and relevant.
💡 Key Features
👿 Devil’s Mark Logic
Triggers when the open equals high (potential sell-side setup) or open equals low (potential buy-side setup)
These conditions often mark areas where liquidity has been engineered—likely to be revisited later
Applies to any timeframe, adapting automatically to the chart you're on
Custom Emojis
Choose from 😈, 🔥, 💀, or 🤡
Each emoji is placed precisely at the candle’s open, labeled in your chosen color for clarity
📈 Optional Horizontal Lines
Toggle lines on/off depending on your preference
Lines extend forward to highlight the key level price is likely to return to
Helps visualize interaction points, re-entries, or partial exits
🧼 Automatic Cleanup
Once price interacts with the Devil’s Mark (via wick or body), the label and line are automatically deleted
This keeps your chart minimal and focused only on active untested levels
🚨 Alerts Built In
Receive an alert when a new Devil’s Mark is formed, including the exact price and condition
Ideal for monitoring developing setups without staring at the chart
🧾 Info Box (Optional)
Displays the symbol, timeframe, and indicator title at the bottom of your chart
Helps when journaling trades or sharing analysis with your community
⚙️ Customization
Choose your emoji: 😈, 🔥, 💀, 🤡
Line visibility toggle
Fully customizable colors for bullish (Open = Low) and bearish (Open = High) marks
Enable/disable alerts to suit your workflow
Minimalist by default, but expandable for those who like more on-chart structure
🔄 Use Cases
Targeted liquidity grabs around recent highs/lows
Short-term reversion points for scalpers
Confluence for stop-hunts and inducement plays
Marking levels that often serve as "second entries" or "trap breaks"
⚠️ Final Note
This tool doesn’t predict direction—it highlights structure. Use it in combination with your narrative, bias, and entry model. Especially effective when paired with SMC or ICT-based strategies that account for liquidity, displacement, and manipulation.
Trade smart, stay disciplined, and don’t ignore the marks—they have a habit of dragging price back, whether you like it or not.
Prophet Model [TakingProphets]This model has helped me secure multiple funded prop firm payouts.
Inspired by ICT trader “Its Johnny,” the Prophet Model is one of the most effective tools I’ve ever used to consistently identify high-conviction, high-probability setups.
Let me be clear: this indicator alone won’t make you profitable—but when paired with discipline and discretion, it becomes a serious edge. Built specifically for traders who understand ICT and Flow State principles, this tool streamlines your workflow by dynamically aligning SMC concepts into one cohesive model.
It’s structured. It’s intentional. And in the right hands, it’s one of the most powerful indicators on the market.
🧠 Overview
The Prophet Model is a logic-driven smart money framework that automates your confluence-building process. It aligns multiple components of market structure, liquidity, and displacement into a visual checklist, guiding you toward clean setups without clutter.
THIS INDICATOR LOOKS FOR:
-Tap into HTF PD Arrays using intelligent timeframe mapping
-Confirm delivery shifts using ICT Candle Range Theory (CRT)
-Wait for sweep > displacement > gap—before entry is even considered
-Visualize TP, SL, and BE levels based on real ranges, not arbitrary ticks
-Check setup validity in real time with a dynamic criteria checklist
-Strengthen execution with Flow State relationship confirmations
Detailed Feature Breakdown
🔭 High Time Frame PDA Mapping
Each lower timeframe (e.g. M1, M5, M15) is automatically aligned with its higher timeframe counterpart (e.g. M15, H1, H4).
The model continuously scans for unmitigated Fair Value Gaps (FVGs) on that HTF and draws them in real-time on your current chart—highlighting areas of premium and discount efficiently.
-Only non-weekend, clean gaps are drawn
-Gaps update dynamically and extend by user-defined bar counts
-HTF PDA mitigation is visually tracked and used as a condition in confluence
🕯️ Candle Range Theory (CRT) Detection
Once an HTF PDA is active, the model checks for a valid CRT shift. It compares the last two candles on the higher timeframe to determine whether delivery conditions have shifted (based on ICT’s structure rules).
When detected, a CRT label is shown, supporting directional conviction and potential to expand.
💧 Liquidity Sweep Detection
Before any entry logic is triggered, the model waits for a buy-side or sell-side sweep to occur within the HTF FVG. These sweeps are drawn as dashed lines labeled $$$ and tracked using pivot logic.
-Sweeps are required to form before any CISD
-They must occur inside the active HTF PDA
-Each sweep condition must be met before advancing to next criteria
⚡ Change in State of Delivery (CISD)
Arguably the most critical part of the model: after a sweep, the model waits for a displacement in the opposite direction. Once confirmed, it marks the CISD line (black) and stores this as a trigger point for the next phase of setup building.
Key logic:
-Uses candle sequences to define CISD legs
-Detects when structure shifts via displacement close
-Optional: includes a CRT confirmation for additional confluence
📦 Overlapping Fair Value Gap (FVG) & Entry Adjustment
Once a CISD is confirmed, the model checks if an internal FVG (within the 3-candle structure) overlaps the displacement. If found, the EPE (Easiest Point of Entry) is automatically adjusted to this zone and relabeled.
-This adds an extra layer of precision to your entry—only visible when the overlap exists.
🎯 Take Profit / Break Even / Stop Loss Mapping
After a valid CISD is formed, the model auto-calculates:
-Take Profit: 2.25x the CISD range
-Break Even: 1x the CISD range
-Stop Loss: Recent high/low depending on trade direction
These are plotted on the chart using clearly labeled lines in green (TP), orange (BE), and red (SL), with optional price display.
All risk levels are based on actual structure—not static values.
🧾 Dynamic Setup Checklist
A four-point strategy checklist is drawn on the chart, updating in real time:
-HTF PDA Tap ✅
-CRT Confirmation ✅
-Liquidity Sweep ✅
-CISD Confirmation ✅
This helps traders visually track setup progression without needing to second-guess or manually monitor each component.
🔁 Flow State Alignment Table
This top-right table outlines ideal timeframe pairings based on ICT’s Flow State methodology:
-Monthly PDA + Daily CISD
-Weekly PDA + H4 CISD
-Daily PDA + H1 CISD
The model automatically highlights the correct row when your current timeframe aligns with the expected CISD timeframe—helping you focus only on clean, time-aligned setups.
🟧 Easiest Point of Entry (EPE) Tracking
The model dynamically marks the EPE after CISD confirmation. If an overlapping FVG is detected, it shifts to that level instead. The label changes from “CISD” to “EPE” to help you visually distinguish entry refinement.
-Orange line and label
-Adjusts live when overlap is present
-Helps improve entry precision and reduce drawdown
🧾 Info Box (Optional)
Displays symbol, timeframe, indicator title, and date at the bottom of your chart—useful for journaling, screenshots, or presentations.
⚙️ Customization
Every feature can be toggled on/off:
-Visibility controls for CRT, FVGs, CISD, and Limits
-Color inputs for borders, fills, and text
-Adjustable label sizes, table text sizes, and FVG extension bars
-This allows full flexibility whether you're scalping indices or swing trading majors.
⚠️ Important Notes
This is not a buy/sell signal and is not meant to be traded blindly.
It is designed as a visual framework for ICT and Flow State traders who understand narrative, timing, and context.
Always use proper risk management and confirm bias through your own analysis.
世界最强100倍杠杆ETF无敌完美交易系统 v3.0🔑 Core Features
Multi-Layer Technical Framework
EMA Cloud (8 Layers): ema_1 (Lightning) to ema_8 (Ultra-Long) for trend alignment.
Ichimoku Cloud: Tenkan/Kijun/Senkou spans with cloud-state detection (bull/bear/neutral).
Oscillators: RSI, Stochastic, Williams %R, CCI with adaptive thresholds.
Volatility Channels: Dual Bollinger Bands + Keltner Channel for "squeeze" detection.
Volume Analysis: VWAP, volume spikes/climax, and price-volume divergence.
AI-Powered Enhancements
Pattern Recognition: Detects 15+ candlestick patterns (e.g., Engulfing, Morning Star, Three Soldiers).
Adaptive Parameters: Adjusts RSI/MACD thresholds based on volatility.
Pattern Strength Scoring: Quantifies signal reliability (0–10 scale).
Risk Management System
Dynamic Position Sizing: Adjusts trade size using:
Win/loss streaks
Pattern strength
Volatility regimes
Smart Stops: Trailing stops with ATR-based distance + volatility scaling.
Drawdown/Heat Protection: Reduces exposure after consecutive losses.
Market Structure Tools
Support/Resistance: Dynamic pivots (5/10/20 periods).
Fibonacci Retracements: Auto-plots key levels (23.6%, 38.2%, 61.8%).
Trend Strength Meter: Scores trends from -1.0 (strong bear) to +1.0 (strong bull).
Time & Session Filters
Avoids news hours + sessions (Asian/European/US/Overlap).
📊 Visualization & Alerts
Plotting:
EMA cloud ribbons
Ichimoku cloud
Bollinger/Keltner bands
Fibonacci levels
Entry/exit markers (e.g., 🚀MEGA Long/💥MEGA Short)
Dashboard: Real-time table showing:
RSI/MACD/Volume grades
Position status (PnL %)
Risk score (A-F rating)
System total score (0-100%)
Alerts: Triggers for:
Mega entries/exits
Squeeze releases
Breakouts
"Perfect score" (90%+ conditions met)
⚙️ Key Innovations
20-Condition Confirmation: Requires confluence of EMA alignment, volatility expansion, volume spikes, pattern strength, and trend momentum for entries.
Self-Adjusting Logic: Parameters adapt to market regimes (e.g., high volatility tightens stops).
Institutional-Grade Risk Controls: Max risk/trade, min 5:1 risk-reward ratio, and max concurrent trades.
❗️ Critical Notes
Leverage Warning: Explicitly flagged for 100x leverage ETFs (high-risk).
Overkill?: Combines every major technical approach—may cause clutter. Best used on high-timeframe charts (1H+).
Pine Script Limits: max_boxes_count=500 avoids overcrowding; complex logic may slow performance.
💡 Ideal For: Experienced traders seeking a "all-in-one" system for volatile assets. Not recommended for beginners.
Let me know if you need help optimizing/modifying specific components! 🚀
Average Daily Range in TicksPurpose: The ADR Ticks Indicator calculates and displays the average daily price range of a financial instrument, expressed in ticks, over a user-specified number of days. It provides traders with a measure of average daily volatility, which can be used for position sizing, setting stop-loss/take-profit levels, or assessing market activity.
Calculation: Computes the average daily range by taking the difference between the daily high and low prices, averaging this range over a customizable number of days, and converting the result into ticks (using the instrument's minimum tick size).
Customization: Includes a user input to adjust the number of days for the average calculation and a toggle to show/hide the ADR Ticks value in the table.
Risk Management: Helps traders estimate typical daily price movement to set appropriate stop-loss or take-profit levels.
Market Analysis: Offers insight into average daily volatility, useful for day traders or swing traders assessing whether a market is trending or ranging.
Technical Notes:
The indicator uses barstate.islast to update the table only on the last bar, reducing computational load and preventing overlap.
The script handles different chart timeframes by pulling daily data via request.security, making it robust across various instruments and timeframes.
EMA Crossover with DiamondsShows crossover of ema 21 and with ema 50 with diamond possible buy and sell positions.
Dr. Fib - FGBAB - Automatic Fibonacci Levels v2.0This indicator draws automatic Fibonacci retracements and projections on the chart.
Fibonacci levels are full customizable (color, line, width) once added into the chart it will calculate the higher high and lower lows based on the NumberOfBars input parameter (100 bars by default) so you can use in any timeframe to know possible retracements levels and target projection levels.
Excellent tool for trading stocks, crypto and futures.
Feel free to follow on X @FGBAB.
Thanks for using it.
Dr. Fib – FGBAB.
ORB Breakouts with AlertsORB Breakout indicator with alerts. Lets you select which candles to set alerts and highlights on.
CRM Trend Analyser PRO✅ Breakout-Based Trading System
Detects breakout zones using custom price structure and moving average logic
Shows early pre-entry cues based on key highs/lows
Automatically calculates Entry, Stop Loss, TP1, TP2, and TP3
✅ Dynamic Trend Engine
Adaptive trend lines using momentum acceleration logic
Candle coloring based on trend speed for visual clarity
Gradient intensity reflects trend strength and stability
✅ Multi-Timeframe Support
Plots Daily/Weekly High, Low, and Close levels
Make decisions using top-down market context
Toggle historical levels + resize labels for visual comfort
✅ Risk & Target Management
Auto-calculated Entry, SL, TP1, TP2, TP3 based on multiple confluences
Clearly plotted lines and levels for real-time decision-making
Choose between "Only Last Signal" or "All Signals" mode:
✅ Clean charts with most recent trade only
✅ Back test easily with full signal history
✅ Built-in Technical Tools
Custom-styled VWAP Overlay
Demand & Supply zones for support/resistance
Multiple adaptive MAs with momentum tracking
MA gradient for strength confirmation
✅ Smart Signal Display
Dynamic Buy/Sell markers with entry labels
Color-coded SL/TP lines for fast visual understanding
Optional:
Use standard candle colors
Customize theme for your visual comfort
🕒 Recommended Timeframes
3min / 5min → Intraday & Scalping
Daily Chart → Swing / Positional setups
⚠️ Important Learning Note
This tool is meant to aid your learning and strategy development. Use it with:
A clear trading plan
Disciplined risk management
Correct position sizing (start with single quantity)
Strict Stop Loss rules
Trade only when the risk-to-reward ratio is favorable
In a sideways or opposing market, no trade can be the best trade
True wealth creation happens only through long-term investing
For disciplined risk management, limit intraday exposure to 10% of your capital
🔰 Beginner Path:
1. Start with paper trading for 2 months.
2. Then try equity trades with small capital (₹3,000 or less).
3. Limit loss to ₹50 – ₹100/day. Learn without pressure.
4. Avoid option/futures trading initially — options are high-risk instruments and require advanced understanding.
💡 “Learn first, earn later.” Your capital’s growth or loss is entirely in your control.
🎨 Dark Mode Optimized → Now Fully Customizable
Previously tailored for dark mode, now enhanced with user-selectable color options for a personalized and clear visual experience.
📈 Dynamic Trend Confluence Visual
Introducing a trend-following visual layer to help you ride trends with confidence and clarity.
🔔 Real-Time Alerts Integrated
Never miss a trade. Stay updated with built-in alerts for all key trade signals and conditions.
⚠️ Disclaimer
This indicator and content are intended purely for educational and informational purposes. They do not constitute financial, investment, or legal advice. All opinions are personal interpretations based on research and are not recommendations to buy, sell, or hold any security.
Always consult a SEBI-registered advisor or certified financial planner before making investment decisions. The creator is not responsible for any financial loss or decision taken by viewers.
Use this tool as support to your own strategy — not as a standalone trading system.
Happy Trading, CHEERS!
Bitcoin_1min_TF V1This indicator should be applied only to Bitcoin chart at 1minute Time Frame. It can be used on higher timeframe, however, it's accuracy has been tested only on 1 minute time frame.
For any other chart, it will not work.
Basics of this indicator comes from Price Action which then modulated with ATR, EMAs, Machine Learning from previous data and risk management to give higher accuracy and low capital drawdown.
Since this indicator gives n number of opportunities within a day, it is important to understand the impact of overtrading. So, it is advised to do a disciplined trading and set trading hours in a day to grabs the profits impactfully in a disciplined way and avoid overtrading.
Keep greed away from trading.
Thanks for using the indicator. If you find it good, support me with your positive comments and do share this indicator within your friend/family circle.
I am working on similar indicator for other chart types. Stay in touch until then.
How to use the Indicator-
1. It gives you an indication (up/down arrow) of possible entry and also draws SL & TP line & entry line. Don't enter at the current candle when SL/TP/Entry line are moving since this is only possible entry signal.
2. On the next candle, once price reaches/crossed entry line drawn, take entry.
3. Monitor your trade and exit at SL/TP.
4. Please note, SL can trail if required.
Happy Trading.
EMA20 + Volume + RSI 35–70 + MACD ConfirmationsThis is a testing strategy for EMA20 where the target could be 5% or for a short term momentum.
Lightning StrategyThese signals are provided for educational purposes only and do not constitute financial advice or a recommendation to buy or sell.