Dynamic Zone TraderDynamic Zone Trader - MACD-based trading system with adaptive stop loss and take profit zones.
This indicator generates buy/sell signals from MACD histogram crossovers and automatically adjusts position sizing based on market conditions.
Key Features:
Detects breakout trades and expands targets to capture larger moves
Identifies choppy/ranging conditions and tightens stops to reduce risk
Shows supply and demand zones based on pivot highs/lows
Displays three take profit levels (TP1, TP2, TP3) that scale with trade quality
Entry signals filtered by 50 EMA to trade with the trend
Signal strength score displayed on each entry marker
How It Works:
The indicator analyzes recent price structure and movement to classify each trade:
Breakout trades (breaking recent highs/lows) get 1.6x larger zones
Normal trades get standard 1.0x sizing
Choppy weak signals get 0.75x smaller zones
This allows you to take bigger positions on high-conviction setups while limiting risk during low-quality trades.
Settings:
MACD parameters (default 8/21/5)
Base stop loss: 60 ticks
Base take profit: 80 ticks
EMA filter: 50 period
Optional ADX trend filter
Adjustable breakout detection sensitivity
Works on any timeframe and instrument, but optimized for index futures like NQ/MNQ.
Médias Móveis
Sarfaraz magig IndicatorThis TradingView indicator generates BUY and SELL signals based on the crossover of Exponential Moving Averages (EMA 9 & EMA 50).
🔹 Indicator Logic:
– When EMA 9 crosses ABOVE EMA 50 → BUY signal
– When EMA 9 crosses BELOW EMA 50 → SELL signal
🔹 Designed to capture trend direction and momentum
🔹 Helps identify trend reversals and continuation trades
🔹 Signals are generated only after confirmed crossover
🔹 Non-repaint indicator
🔹 Suitable for:
Crypto
Forex
Stocks
🔹 Works well on 5m, 15m, 1h timeframes
⚠️ This indicator provides signals only.
Stop Loss, Take Profit, and risk management must be applied manually by the trader.
Chello Pro V1 ASSAF ALGOSChello pro is all you need for scalping day trading or swing it works perfectly in all markets
It contains a special moving average for trend direction
A signals depends on crossing the high or low of the sma or the ema
A sniper bands to insure the market momentum
A market structure add for more confluence
For LONG :
Price above the MA a buy signal active a bullish choch or bos signal active the price in green band
For SHORT :
Price below the MA a SELL signal active a bearish choch or bos signal active the price in red band
Note:
Keep the sma length at 9 for fast signals and 50 for slower one
change the sniper multiplier according to your strategy
Avoid choppy markets
Its better to use stop or trigger orders above or below entry candle
Add a good order blocks indicator for better results
Chello Pro هو كل ما تحتاجه للمضاربة السريعة، أو التداول اليومي، أو التداول المتأرجح، فهو يعمل بكفاءة عالية في جميع الأسواق.
يحتوي على متوسط متحرك خاص لتحديد اتجاه الترند. تعتمد الإشارات على تجاوز أعلى أو أدنى مستوى للمتوسط المتحرك البسيط (SMA) أو المتوسط المتحرك الأسي (EMA). أضف بنية السوق لمزيد من الترابط.
للشراء:
السعر أعلى من المتوسط المتحرك: إشارة شراء فعّالة، وإشارة تذبذب صعودي (BOS) فعّالة.
للبيع:
السعر أقل من المتوسط المتحرك: إشارة بيع فعّالة، وإشارة تذبذب هبوطي (BOS) فعّالة.
ملاحظة:
اضبط طول المتوسط المتحرك البسيط (SMA) على 9 للحصول على إشارات سريعة، و50 للحصول على إشارات أبطأ.
تجنب الأسواق المتقلبة.
أضف مؤشرًا جيدًا لكتل الأوامر لتحقيق نتائج أفضل
Moving Average to Moving Average (Smoothing) by ysfgnrMoving Average to Moving Average (Smoothing)
Description:
This indicator applies a smoothing process to a standard moving average to reduce market noise and highlight trend direction.
Main MA: Choose the type (SMA, EMA, SMMA/RMA, WMA, VWMA) and length for the primary moving average.
Smoothing MA: Apply additional smoothing on the main MA to further reduce fluctuations.
Signals & Alerts:
Alerts are generated when the price crosses above or below the smoothed MA.
The area between Main MA and Smoothing MA is filled: green for bullish, red for bearish.
Note: These signals are for directional alert purposes only; they do not generate actual buy/sell positions and do not constitute financial advice.
Visuals:
Main MA and Smoothing MA are plotted on the chart for clarity.
Filled area shows trend direction.
6PM NY Session Extremes + Open (Last 20 Days)From 18:00-18:00
High of Day Time
Low of Day Time
Points
TL Control PanelThe TL Control Panel is a comprehensive multi-timeframe dashboard that displays TrapLight signals across 8 different timeframes simultaneously (1m, 5m, 10m, 15m, 30m, 1h, 4h, Daily).
FEATURES:
• TL Column: Shows the Stochastic RSI K value with intelligent color coding:
- Bright Red (99.5-100): Max Sell zone
- Dim Red (95-99.5): Sell zone
- Yellow (5-95): Not Ready zone
- Dim Green (0.5-5): Buy zone
- Bright Green (0-0.5): Max Buy zone
• K/K Column: Displays Kriss/Kross signals when the 10 EMA crosses the 50 EMA
- Blue box = Kriss (10 crossed above 50 - Buy)
- Yellow box = Kross (10 crossed below 50 - Sell)
• GK Column: Shows Golden Kross signals (50 EMA crosses above 200 EMA - Buy)
• DK Column: Shows Death Kross signals (50 EMA crosses below 200 EMA - Sell)
All timeframes are fully customizable, allowing traders to enable/disable specific intervals. The dashboard provides instant visual confirmation of trend alignment across multiple timeframes, helping traders identify high-probability entry and exit points at a glance.
WMA 150 con pendiente por colorWeighted moving average, 150 periods. Upward slope in green and downward slope in red
Heikin Ashi + EMA9 / DEMA9This indicator combines Heikin Ashi candles with a trend-following moving average system.
You can choose between EMA9 or DEMA9 as the active average.
Only the selected average is displayed, and its color changes dynamically:
Green when the trend is up
Red when the trend is down
Arrow signals are fully customizable:
Show arrows on EMA/DEMA trend changes, or
Show arrows on Heikin Ashi color changes
This allows the indicator to be used both for trend trading and momentum-based strategies, while keeping the chart clean and free of conflicting signals.
Designed for clarity, flexibility, and practical trading use.
TQQQ Framework v6This script is a simple trend‑following framework for trading TQQQ that combines long‑term bias, short‑term momentum, and mean reversion into one visual tool. It plots three moving averages (250‑SMA, 50‑SMA, 21‑EMA), colors the background by trend regime, and prints buy markers when price regains momentum in a bullish environment.
What it does
Uses a 250‑period SMA as the structural “bull/bear regime” filter, only looking for longs when price is above this line.
Uses a 21‑period EMA as the short‑term momentum line, turning green when price is above it and red when price is below it.
Uses a 50‑period SMA as a mean‑reversion reference level, plotted as a softer blue band for pullback zones.
Visual cues
Background turns green when price is above the 250‑SMA (TQQQ bullish focus) and red when below it (implying SQQQ or defensive stance).
The 21‑EMA color shifts dynamically (green/red), giving an immediate read on short‑term momentum without extra indicators.
Signal logic
Generates a buy signal only when:
The market is in a bullish regime (close > 250‑SMA), and
Price crosses back above the 21‑EMA, indicating momentum has resumed after weakness.
Marks this event with a triangle below the bar and exposes an alert condition so it can trigger TQQQ buy alerts automatically.
Related
Summarize main strategy rules in the script
List all user-configurable inputs and defaults
Explain allocation and position sizing logic used
Describe the risk management and stop rules
Identify indicators and formulas implemented in code
Multi EMA Universe (20,50,100,200)Multi EMA Universe (20,50,100,200)
Have an Extra Power of having multiple EMA in a single indicator to whom there is limitation of setting multiple indicator on chart.
User can apply or remove default EMA/s like of period 20, 50, 100 and 200 at a time on same chart. Further, additional 2 more MA/s can also plot as per user choice as and when required.
There is an extra function of Showing Higher Timeframe EMA 20 on lower timeframe so user can trade clutter free from lower timeframe without extra marking or switching chart time. Higher timeframe EMA is only available what its required on lower timeframe.
Also added an Extra Special Function which marks Previous Day High and Low on chart on Daily and intraday timeframe which empowers users to react quickly on current price action.
We have some Fundamentals of stocks also available in table whatever data available in trading view data base help trader to make quick decision on trade.
There is a separate table show sector and industries along with All EMA value + ATR helps user take quick decision who trades based on Sectorial analysis.
This is specially curated to those novice trader who are in learning phase.
If it found useful, share to others who really needs such indicator in starting phase of trading.
I have kept it free to use for all in the spirit of doing good of trading communities.
Further comment and suggestions are welcome...
Baskin Robbin Indicator by @MrwhyBTC Don't chase. Position
The edge isn't the coin it's knowing when the playbook flip
EMA 8 x EMA 80 Indicator Trend Filter for the 123 PatternEMA 8 x EMA 80 Indicator Trend Filter for the 123 Pattern
This indicator displays two Exponential Moving Averages EMA with 8 and 80 periods, designed to assist in trend identification and to act as a filter for trading the 123 buy and sell pattern.
General usage rules
123 Buy: recommended only when trading in an uptrend
123 Sell: recommended only when trading in a downtrend
Moving average filter
Buy setups 123 Buy tend to be more reliable when price is above the 80 period EMA
Sell setups 123 Sell tend to be more reliable when price is below the 8 period EMA
Neutral zone attention
The area between the EMA 8 and EMA 80 is considered a neutral zone
Trading the 123 pattern within this range is riskier, as it often indicates consolidation or lack of clear trend direction
Important disclaimer
This indicator does not generate buy or sell signals by itself. It should be used as a supporting tool, together with proper risk management, market context, and additional analysis.
This is not financial advice.
Session Liquidity Sweep + Trend ConfirmationThis strategy aims to capture high-probability intraday trades by combining liquidity sweeps with a trend confirmation filter. It is designed for traders who want a systematic approach to trade breakouts during specific market sessions while controlling risk with ATR-based stops.
How it Works:
Session Filter: Trades are only considered during a defined session (default 9:30 - 11:00). This helps avoid low-volume periods that can lead to false signals.
Trend Confirmation: The strategy uses a 50-period EMA to identify the market trend. Long trades are only taken in an uptrend, and short trades in a downtrend.
Liquidity Sweep Detection:
A long entry occurs when price dips below the prior N-bar low but closes back above it, indicating a potential liquidity sweep that stops being triggered before the trend continues upward.
A short entry occurs when price spikes above the prior N-bar high but closes below it, signaling a potential sweep of stops before the downward trend resumes.
ATR-Based Risk Management:
Stop loss is calculated using the Average True Range (ATR) multiplied by a configurable factor (default 1.5).
Take profit is set based on a risk-reward ratio (default 2.5x).
Position Sizing: Default position size is 5% of equity per trade, making it suitable for risk-conscious trading.
Inputs:
Session Start/End (HHMM)
Liquidity Lookback Period (number of bars to define prior high/low)
ATR Length for stop calculation
ATR Stop Multiplier
Risk-Reward Ratio
EMA Trend Filter Length
Visuals:
Prior Liquidity High (red)
Prior Liquidity Low (green)
EMA Trend (blue)
Why Use This Strategy:
Captures stop-hunt moves often triggered by larger market participants.
Only trades with trend confirmation, reducing false signals.
Provides automatic ATR-based stop loss and take profit for consistent risk management.
Easy to adjust session time, ATR, EMA length, and risk-reward to suit your trading style.
Important Notes:
Assumes 0.05% commission and 1-pip slippage. Adjust according to your broker.
Not financial advice; intended for educational, backtesting, or paper trading purposes.
Always test strategies thoroughly before applying to live accounts.
EMA as Support/Resistance with Backtests (by Visual Sectors)Knowing what works for a specific stock is the game changer!
This script returns 3 years' backtest of EMA acting as Support or Resistance
Wins and Losses are defined as closing above/below the EMA 50. Settings can be changed to any EMA length.
Actionability is % of time EMA was within range, so a EMA 500 will have very low actionability, while EMA 5 - extremely high
Scalping Suitability Radar🔍 Scalping Suitability Radar + BUY / SELL / STAND-BY Signals
What this indicator is
The Scalping Suitability Radar is a decision-support indicator designed to help traders avoid low-quality scalping environments and focus only on moments when the market shows:
Sufficient volatility
Adequate liquidity (volume)
Real momentum
Meaningful trend strength
Clear entry timing
Instead of forcing trades in slow, choppy, or low-energy markets, this indicator answers one critical question first:
“Is the market even worth scalping right now?”
Only after the market is deemed scalpable does it assist with:
BUY / SELL signals
STAND-BY (anticipation) alerts
A color-coded decision table explaining why a signal exists (or why you should stay out)
🧠 Core Philosophy
Most losing scalps don’t fail because of bad entries —
they fail because the market conditions were never suitable.
This indicator is built around the idea that:
No setup is better than a forced setup.
🧩 What the indicator evaluates (automatically)
1️⃣ Volatility (ATR % + optional Bollinger Band Width)
Confirms price is moving enough to overcome:
Spreads
Slippage
Time decay (especially for options)
If volatility is too low → NO SCALP
2️⃣ Volume (Relative to recent average)
Ensures liquidity is present
Prevents entries during thin, slow tape
Low volume = unreliable signals
3️⃣ Trend Strength (ADX)
Filters out dead chop and weak direction
Optional requirement that ADX is rising, not just high
4️⃣ Momentum (MACD + Histogram)
Confirms energy behind price movement
Histogram behavior helps anticipate crosses
5️⃣ Directional Bias (RSI + optional EMA filter)
RSI confirms bullish or bearish pressure
EMA filter aligns trades with short-term structure
🟢🟠🔴 Signal Types Explained
🟢 BUY / SELL
Triggered only when all market conditions are suitable, plus:
MACD crossover in the trade direction
RSI confirms directional bias
Optional EMA trend alignment
These are actionable scalp entries , not predictions.
🟠 STAND-BY (Anticipation Signal)
This is a unique feature designed to help you prepare before the entry fires.
STAND-BY appears when:
Market is already scalpable
MACD line and signal line are very close and converging
RSI is in range or very near range
Momentum is building toward a cross
What it means:
“Conditions are aligning — be ready, but don’t enter yet.”
This is especially useful for:
Fast timeframes (30s / 1m)
Options scalping
Traders who want to avoid chasing late entries
⚪ NOT SCALPABLE / GRAY BACKGROUND
When the background is gray:
Volatility, volume, trend, or momentum is insufficient
Any signals during this period should be ignored
This is intentional capital preservation
📊 Decision Table (Built for Novice & Advanced Traders)
The on-chart table shows, in real time:
Each indicator’s current value
The minimum “good” range
Color-coded status:
🟢 Green = suitable
🔴 Red = unsuitable
Helpful notes like:
“ADX rising”
“MACD near cross”
“RSI near LONG range”
“Stand-by confirmed”
This turns the indicator into a learning tool, not just a signal generator.
⚙️ Suggested Settings by Asset Type
Use these as starting points , not absolutes.
📈 Index Futures / Index CFDs (ES, NQ, DAX)
Timeframes: 30s – 1m
Min ATR %: 0.10 – 0.15
Min BB Width %: 0.20 – 0.30
Volume Multiplier: 1.1 – 1.2
ADX Min: 18 – 22
RSI Buy/Sell: 52 / 48
EMA Filter: ON
🧾 Index Options (0DTE SPX, ES options)
Timeframes: 30s
Min ATR %: 0.12 – 0.20
Min BB Width %: 0.25 – 0.40
Volume Multiplier: 1.2 – 1.4
ADX Min: 20 – 25
RSI Buy/Sell: 53 / 47
STAND-BY: Highly recommended
🪙 Crypto (BTC, ETH, majors)
Timeframes : 1m – 3m
Min ATR %: 0.15 – 0.30
BB Width %: 0.30 – 0.50
Volume Multiplier: 1.1
ADX Min: 17 – 20
RSI Buy/Sell: 51 / 49
EMA Filter: Optional (depends on style)
📊 Large-Cap Stocks (AAPL, MSFT, NVDA)
Timeframes: 1m – 5m
Min ATR %: 0.08 – 0.12
BB Width %: 0.15 – 0.25
Volume Multiplier: 1.2
ADX Min: 18
RSI Buy/Sell: 52 / 48
🧠 Best Practices
Do not trade against gray background
Use STAND-BY to prepare, not predict
Combine with:
Market structure
Key levels
Risk management
One clean trade > ten forced trades
⚠️ Disclaimer
This indicator is provided for educational and informational purposes only .
This is not financial advice
It does not guarantee profits or prevent losses
Markets behave differently across assets, sessions, and regimes
You are responsible for choosing settings that match:
Your trading style
Your risk tolerance
The specific asset you trade
Always test settings using paper trading or backtesting before using real capital.
Halo MTF Market Bias (Bull / Bear)This indicator is designed to provide a clear directional market bias at a glance, using a clean and easy-to-read multi-timeframe analysis.
It allows traders to quickly determine whether the market is bullish or bearish, helping them trade only in the direction of the overall market context.
The indicator automatically analyzes the bias on the following timeframes:
1 minute
5 minutes
15 minutes
30 minutes
1 hour
4 hours
Daily
👉 Works on all markets: Crypto, Forex, Indices, Gold, and more.
⚠️ Important
This indicator is not a trading system.
It should be used as a decision-support tool, always combined with a clear strategy and proper risk management.
SILENT FLOW | Chartnes FREESILENT FLOW | Chartnes FREE
Experience Clarity. Follow the Flow.
SILENT FLOW is the systematic evolution of our proven trend following logic, engineered for traders who want to eliminate visual noise and make precise decisions.
Why SILENT FLOW?
Most indicators clutter the chart with bright colors and overlapping text. SILENT FLOW delivers calm structure instead, showing only what truly matters.
Highlights
🌊 Visual Silence: Emerald and Amber scheme minimizes distractions for deeper focused analysis.
🎯 Smart Labels: Setup signals below the candle, active trades above, clean separation without overlaps.
✨ Instant Readability: Price levels automatically rounded for optimal overview at a glance.
Your Entry Point
This FREE version is stable and standalone, perfect for manual trend analysis and getting familiar with the SILENT FLOW philosophy.
Ready for More? Chartnes VIP offers automation, real-time alerts, and advanced filters for professional requirements. Send a private message (PM) for access details.
Disclaimer: For educational purposes only. Not financial advice. Trading involves risk.
ezzy Golden Cross mit Target und StopA simple crossover system based on SMA 50 and SMA 200 including percentage target and stop loss.
ezzy_goldencross This strategy is a simple crossover trading strategy using SMA 50 and SMA 200 (long only). I also implemented a percentage profit target and stop loss.
S99XAU-strategyXAUdaily Trading System - Intelligent Solution
🌟 Core Value
An intelligent trading engine specifically designed for the gold market, combining multiple filtering mechanisms and dynamic risk control to identify high-probability trading opportunities in complex market conditions.
🔥 Four Core Modules
1. Dual-Line Resonance Signal System
Primary Frequency Tracker: Quickly captures subtle price change characteristics
Auxiliary Confirmation Line: Verifies trend strength and continuity
Collaborative Operation: Dual-line crossover combined with special algorithm processing to generate high-quality trading signals
2. Triple Intelligent Filtering Network
🔍 Volatility Activity Detection: Automatically identifies effective volatility, avoiding market noise
🔍 Capital Flow Confirmation: Analyzes volume anomalies to capture main force movements
🔍 Trend Environment Adaptation: Multi-timeframe trend consistency assessment to ensure trend-following trades
3. Dynamic Risk Management System
🛡️ Adaptive Protection: Adjusts stop-loss spacing based on market volatility rate
🎯 Intelligent Moving Protection: Automatically moves stop-loss upward when trend is favorable to lock in profits
📊 Risk Visualization: Real-time display of stop-loss line for clear understanding of risk boundaries
4. Visual Decision Panel
📈 Clear Signal Marking: Green for buy/Red for sell, intuitive and clear
⚠️ Filtering Tips: Gray markers show signals excluded by the system
🎯 Risk Monitoring: Continuous display of stop-loss line during holding period
Suitable Market Environment:
✅ Gold intraday trading
⚙️ Quick Start Guide
Load to gold 3-minute to 4-hour charts (depending on your preferred timeframe)
Start observing with default parameters
Familiarize yourself with signal characteristics in a demo account first
Adjust stop-loss parameters based on personal risk tolerance (Recommended: depending on your broker's gold quote decimal places, for 2 decimal places: 420, 80; for 3 decimal places: 4200, 800)
Friendly reminder: The maximum loss per trade is based on the gold price, not account balance. Recommended parameter: 0.2
💎 Why Choose This System?
For Beginners: Provides clear trading signals, avoiding complex analysis
For Experienced Traders: Complements existing trading systems, provides additional confirmation
For Busy Individuals: Automated signal generation saves chart-watching time
Professional Tip: Any trading system needs to match your personal risk tolerance. It's recommended to start with small positions to familiarize yourself with the system characteristics, find the parameter configuration that best suits you.






















