Continuation Suite v1 — 5m/15mContinuation Suite v1 — 5m/15m (Non-Repainting, S/R + Trend Continuation)
What it does
Continuation Suite v1 is a practical intraday toolkit that combines non-repainting trend-continuation signals with auto-built Support/Resistance (S/R) from confirmed pivots. It’s designed for fast, liquid names on 5m charts with an optional 15m higher-timeframe (HTF) overlay. You get: stacked-EMA bias, disciplined pullback+reclaim entries, optional volume/volatility gates, a “Strong” signal tier, solid S/R lines or zones, and a compact dashboard for fast reads.
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Why traders use it
	•	Clear bias using fast/mid/slow EMA stacking.
	•	Actionable entries that require a pullback, a reclaim, and (optionally) a minor break of prior extremes.
	•	Signal quality gates (volume vs SMA, ATR%, ADX/DI alignment, EMA spacing, slope).
	•	Non-repainting logic when “Confirm on Close” = ON. Intrabar previews show what’s forming, but confirmed signals only print on bar close.
	•	S/R that matters: confirmed-pivot lines or ATR-sized zones, optional HTF overlay, and auto de-dup to avoid clutter.
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Signal construction (no magic, just rules)
Bullish continuation (base):
	1.	Trend: EMA fast > EMA mid > EMA slow
	2.	Pullback: price pulls into the stack (lowest low or close vs EMA fast/mid over a lookback)
	3.	Reclaim: close > EMA fast and close > open
	4.	Break filter (optional): current bar takes out the prior bar’s high
	5.	Filters: volume > SMA (if enabled) and ATR% ≤ max (if enabled)
	6.	Cooldown: a minimum bar gap between signals
Bearish continuation (base): mirror of the above.
Strong signals: base conditions plus ADX ≥ threshold, DI alignment (DI+>DI- for longs; DI->DI+ for shorts), minimum EMA-spacing %, and minimum fast-EMA slope.
Reference stops:
	•	Longs: lowest low over the pullback lookback
	•	Shorts: highest high over the pullback lookback
Alerts are included for: Bullish Continuation, Bearish Continuation, STRONG Bullish, STRONG Bearish.
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S/R engine (current TF + optional HTF)
	•	Builds S/R from confirmed pivots only (left/right bars).
	•	Choose Lines (midlines) or Zones (ATR-sized).
	•	Zones merge when a new pivot lands near an existing zone’s mid (ATR-scaled epsilon).
	•	Touches counter tracks significance; you can require a minimum to draw.
	•	HTF overlay (default 15m) draws separate lines/zones with tiny TF tags on the right.
	•	De-dup option hides current-TF zones that sit too close to HTF zones (ATR-scaled), reducing overlap.
	•	Freeze on Close (optional) keeps arrays stable intrabar; snapshots show levels immediately as bars open.
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Presets
	•	Auto: Detects QQQ-like tickers (QQQ, QLD, QID) or SoFi; else defaults to Custom.
	•	QQQ: Tighter ATR% and EMA settings geared to index-ETF behavior.
	•	SoFi: Wider ATR allowances and longer mid/slow for single-name behavior.
	•	Custom: Expose all key inputs to tune for your product.
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Dashboard (top-right)
	•	Preset in use
	•	Bias (Bullish CONT / Bearish CONT / Neutral)
	•	Strong (Yes/No)
	•	Volatility (ATR% bucket)
	•	Trend (ADX bucket)
	•	HTF timeframe tag
	•	Volume (bucket or “off”)
	•	Signals mode (Close-Confirmed vs Intrabar)
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Inputs you’ll actually adjust
Trend/Signals
	•	Fast/Mid/Slow EMA lengths
	•	Pullback lookback, Min bars between signals
	•	Volume filter (vol > SMA N)
	•	ATR% max filter (cap excessive volatility)
	•	Require break of prior bar’s high/low
	•	“Strong” gates: min EMA slope, min EMA spacing %, ADX length & threshold
Support/Resistance
	•	Lines vs Zones
	•	Pivot left/right bars
	•	Extend left/right (bars)
	•	Max pivots kept (current & HTF)
	•	Zone width (× ATR), Merge epsilon (× ATR), Min gap (× ATR)
	•	Min touches, Max zones per side near price
	•	De-dup current TF vs HTF (× ATR)
Repainting control
	•	Confirm on Close: when ON, signals/SR finalize on bar close (non-repainting)
	•	Freeze on Close: freeze S/R intrabar with snapshot updates
	•	Show previews: translucent intrabar labels for what’s forming
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How to use it (straightforward)
	1.	Load on 5-minute chart (baseline). Keep Confirm on Close ON if you hate repainting.
	2.	Use Bias + Strong + S/R context. If a long prints into HTF resistance, you have information.
	3.	Manage risk off the reference stop (pullback extreme). If ATR% reads “Great,” widen expectations; if “Poor,” size down or pass.
	4.	Alerts: wire the four alert types to your workflow.
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Notes and constraints
	•	Designed for liquid symbols. Thin books and synthetic “volume” will degrade the volume gate.
	•	S/R is pivot-based. On very choppy tape, touch counts help. Increase min touches or switch to Lines to declutter.
	•	If your chart timeframe isn’t 5m, behavior changes because lengths are in bars, not minutes. Tune lengths accordingly.
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Disclaimers
This is a research tool. No signals are guaranteed. Markets change, outliers happen, slippage is real. Nothing here is financial advice—use your own judgment and risk management.
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Author: DaddyScruff
License: MPL-2.0 (Mozilla Public License 2.0)
