Pivot Squeeze IndicatorThe Pivot Squeeze Indicator is an oscillator that identifies when markets are "squeezed" between recent pivot highs and lows, then signals when they're ready to make their next big move.
How it Works
The indicator calculates the percentage distance between the current price and the most recent pivot high vs. pivot low. When this distance gets compressed (small), the market is "squeezed" and building energy. When it expands rapidly, you get your breakout signal.
The indicator adapts to current market volatility using four different modes:
- ATR-Based
- Bollinger Bands
- Keltner Channels
- Fixed %
What to Look For
🟠 Orange Background = Squeeze Zone
Market is compressed between recent pivots
Low volatility, building pressure
🟢 Green Breakout = Bullish Signal
Price breaking out above recent highs
Momentum shifting upward
Time to look for long opportunities
🔴 Red Breakout = Bearish Signal
Price breaking down below recent lows
Momentum shifting downward
Time to look for short opportunities
Using Histogram Colors:
Green bars = Bullish territory (closer to recent highs)
Red bars = Bearish territory (closer to recent lows)
Orange bars = Squeeze conditions (compressed between pivots)
Using MA Line:
When Histogram bars cross below or above MA Line in opposite direction, it might be good time to exit.
Default Settings: ATR-based thresholds with 14-period lookback - works great out of the box, but feel free to experiment with the different threshold modes to find what works best for your trading style! Recommended to use with other indicators to confirm signals
Osciladores
52SIGNAL RECIPE AMA Momentum Vector═══52SIGNAL RECIPE AMA Momentum Vector═══
◆ Overview
52SIGNAL RECIPE AMA Momentum Vector is an advanced technical indicator based on Adaptive Moving Average (AMA), integrating volume filtering and gradient zone visualization to provide comprehensive analysis of price trends and momentum.
It automatically adjusts to market conditions by calculating efficiency ratios, reducing noise while clearly capturing significant trends. The volume confirmation system helps traders identify high-probability entry and exit points with precision.
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◆ Key Features
• Adaptive Moving Average: Smart moving average that automatically adjusts based on market conditions
• Volume Filter Integration: Double-confirmation of important price movements through volume analysis
• Momentum Gradient Zones: Intuitive visualization of trend strength through color gradation
• Signal Confirmation System: Generation of high-reliability buy/sell signals by combining multiple factors
• Trend Direction Identification: Clear color distinction between bullish and bearish market conditions
• Automatic Adaptation: Intelligent design that self-adjusts to various market situations
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◆ Technical Foundation
■ AMA Calculation Principles
• Efficiency Ratio (ER): Measures how efficiently price moves in one direction
• Dynamic Smoothing Coefficient: Automatically adjusts faster or slower based on market conditions
• Adaptive Algorithm: Less sensitive during sideways markets, more responsive during trending markets
• Noise Reduction Function: Filters out meaningless price movements while capturing important signals
■ Momentum Vector Implementation
• Trend-Price Distance Calculation: Measures trend strength by the distance between AMA and current price
• Color Gradation: Visual system where color intensity changes proportionally to trend strength
• ATR-Based Adjustment: Automatically adjusts gradient zone width according to market volatility
• Directional Color Distinction: Intuitive display with blue/cyan for uptrends and red for downtrends
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◆ Practical Applications
■ Price Trend Interpretation
• Trend Direction Assessment:
▶ Price above AMA with blue gradation indicates ongoing bullish momentum
▶ Price below AMA with red gradation indicates ongoing bearish momentum
• Momentum Strength Verification:
▶ Deeper gradient colors mean stronger momentum and healthier trends
▶ Lighter gradient colors suggest weakening momentum and potential reversal
■ Trading Strategy Utilization
• Trend Following Strategy:
▶ Buy signal when price crosses above AMA with increased volume
▶ Sell signal when price crosses below AMA with increased volume
• Momentum Confirmation Trading:
▶ Deep gradation increases confidence in trend continuation for entry decisions
▶ Multiple consecutive candles staying on one side of AMA increases trend reliability
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◆ Advanced Configuration Options
■ Input Parameter Guide
• Fast Period (Default: 2)
▶ 1-2: Responds very quickly to price changes. Suitable for short-term trading.
▶ 3-5: Moderate response that reduces frequent signals.
▶ 6-10: Slower response but captures only more definitive trends.
• Slow Period (Default: 30)
▶ 20-25: AMA moves faster. Good for shorter timeframe trading.
▶ 26-35: Balanced speed suitable for most market conditions.
▶ 36-50: AMA moves slowly, smoothly following long-term trends.
• Efficiency Ratio Period (Default: 10)
▶ 5-8: Focuses more on recent price movements. Responds quickly to changes.
▶ 9-12: Balanced period suitable for most situations.
▶ 13-20: Considers longer-term price movements, ignoring temporary fluctuations.
• Volume Average Period (Default: 20)
▶ 10-15: Compares with the average volume of the last 10-15 days. More sensitive to changes.
▶ 16-25: Compares with the average volume of approximately the last month. Balanced setting.
▶ 26-50: Compares with long-term average volume, capturing only truly significant volume changes.
• Volume Threshold Multiplier (Default: 1.2)
▶ 1.0-1.1: Recognizes volume just 10% above average as valid.
▶ 1.2-1.5: Requires volume 20-50% higher than average (e.g., 1.2 means 120% of average).
▶ 1.6-2.0: Recognizes only very high volume at least 1.6 times (160%) above average.
■ Timeframe-Specific Recommended Settings
• Short Timeframes (5min-1hr):
Fast Period 2, Slow Period 20, Efficiency Ratio Period 8
→ Responds quickly to price changes, suitable for day trading.
• Medium Timeframes (4hr-daily):
Fast Period 2, Slow Period 30, Efficiency Ratio Period 10
→ Most balanced setting for general swing trading.
• Long Timeframes (daily-weekly):
Fast Period 2, Slow Period 40, Efficiency Ratio Period 14
→ Optimized for smoothly tracking longer trends.
■ Market-Specific Recommended Settings
• Stock Market:
Volume Threshold 1.2, Volume Average Period 20
→ Signal is valid when volume is 20% above average.
• Forex Market:
Volume Threshold 1.5, Efficiency Ratio Period 12
→ Forex requires higher volume to be meaningful and slightly longer efficiency measurement.
• Cryptocurrency Market:
Volume Threshold 1.3, Fast Period 2, Slow Period 25
→ Settings optimized for highly volatile cryptocurrencies.
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◆ Synergy with Other Indicators
• Moving Averages: Trend reliability increases when AMA and key moving averages point in the same direction
• RSI/Stochastic: Powerful reversal signals when AMA crossovers occur in overbought/oversold zones
• MACD: Signal probability greatly increases when MACD histogram direction changes coincide with AMA crossovers
• Bollinger Bands: Trend strength can be determined by AMA's position within Bollinger Bands
• Support/Resistance Levels: Success probability dramatically increases when AMA breakouts occur at key price levels
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◆ Conclusion
AMA Momentum Vector provides accurate price trend analysis by combining the advanced features of adaptive moving averages with momentum visualization technology.
It perfectly adapts to constantly changing market environments through its self-adjusting algorithm and generates highly reliable trading signals through its volume confirmation system.
Users can optimize the indicator for their trading style and market conditions with simple parameter adjustments, enabling effective trading decisions that comprehensively consider price direction, momentum strength, and volume confirmation.
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※ Disclaimer: Past performance does not guarantee future results. Always use appropriate risk management strategies.
═══52SIGNAL RECIPE AMA Momentum Vector═══
◆ 개요
52SIGNAL RECIPE AMA Momentum Vector는 적응형 이동평균(AMA)을 기반으로 한 고급 기술적 지표로, 볼륨 필터링과 그라데이션 존 시각화를 통합하여 가격 추세와 모멘텀을 종합적으로 분석합니다.
시장 효율성 비율을 자동으로 계산하여 시장 상황에 맞게 스스로 조정되며, 노이즈는 줄이고 중요한 추세는 선명하게 포착합니다. 또한 볼륨 확인 시스템을 통해 높은 확률의 매매 시점을 정확하게 식별할 수 있도록 도와줍니다.
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◆ 주요 특징
• 적응형 이동평균: 시장 상황에 따라 자동으로 조정되는 스마트한 이동평균선
• 볼륨 필터 통합: 중요한 가격 움직임을 볼륨으로 한번 더 확인
• 모멘텀 그라데이션 존: 색상 그라데이션으로 추세의 강도를 직관적으로 시각화
• 신호 확인 시스템: 여러 요소를 종합하여 신뢰도 높은 매수/매도 신호 생성
• 추세 방향 식별: 상승세와 하락세를 색상으로 명확하게 구분
• 자동 적응 기능: 다양한 시장 상황에 알아서 맞춰지는 지능형 설계
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◆ 기술적 기반
■ AMA 계산 원리
• 효율성 비율 (ER): 가격이 얼마나 효율적으로 한 방향으로 움직이는지 측정
• 동적 평활화 계수: 시장 상황에 따라 빠르거나 느리게 자동 조절되는 계수
• 적응형 알고리즘: 횡보장에서는 둔감하게, 추세장에서는 민감하게 반응
• 노이즈 감소 기능: 무의미한 가격 움직임은 걸러내고 중요한 신호만 포착
■ 모멘텀 벡터 구현
• 추세-가격 거리 계산: AMA와 현재 가격 사이의 거리로 추세 강도 측정
• 색상 그라데이션: 추세 강도에 비례하여 색상 농도가 변하는 시각화 시스템
• ATR 기반 조정: 시장 변동성에 맞춰 그라데이션 영역 너비 자동 조절
• 방향성 색상 구분: 상승세는 파란색/청록색, 하락세는 빨간색으로 직관적 표시
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◆ 실용적 응용
■ 가격 추세 해석
• 추세 방향 판단:
▶ 가격이 AMA 위에 있고 파란색 그라데이션이 보이면 상승 모멘텀 진행 중
▶ 가격이 AMA 아래에 있고 빨간색 그라데이션이 보이면 하락 모멘텀 진행 중
• 모멘텀 강도 확인:
▶ 그라데이션 색상이 진할수록 모멘텀이 강하고 추세가 건강함을 의미
▶ 그라데이션 색상이 옅을수록 모멘텀이 약해지고 있으며 반전 가능성 시사
■ 트레이딩 전략 활용
• 추세 추종 전략:
▶ 가격이 AMA를 상향 돌파하고 볼륨이 증가하면 매수 신호
▶ 가격이 AMA를 하향 돌파하고 볼륨이 증가하면 매도 신호
• 모멘텀 확인 트레이딩:
▶ 진한 그라데이션은 추세 지속 가능성이 높음을 의미하므로 진입 확신 강화
▶ 여러 캔들이 연속해서 AMA 한쪽에 머물면 추세의 신뢰도가 높아짐
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◆ 고급 설정 옵션
■ 인풋 파라미터 가이드
• 빠른 기간 (Fast Period) (기본값: 2)
▶ 1-2: 가격 변화에 매우 빠르게 반응합니다. 단기 거래에 적합합니다.
▶ 3-5: 적당히 반응하여 잦은 신호를 줄여줍니다.
▶ 6-10: 반응이 느리지만 더 확실한 추세만 포착합니다.
• 느린 기간 (Slow Period) (기본값: 30)
▶ 20-25: AMA가 더 빠르게 움직입니다. 짧은 시간 거래에 좋습니다.
▶ 26-35: 균형 잡힌 속도로 대부분의 시장 상황에 적합합니다.
▶ 36-50: AMA가 천천히 움직여 장기 추세를 부드럽게 따라갑니다.
• 효율성 비율 기간 (Efficiency Ratio Period) (기본값: 10)
▶ 5-8: 최근 가격 움직임에 더 집중합니다. 변화에 빠르게 반응합니다.
▶ 9-12: 균형 잡힌 기간으로 대부분의 상황에 적합합니다.
▶ 13-20: 더 긴 기간의 가격 움직임을 고려하여 일시적인 변동을 무시합니다.
• 볼륨 평균 기간 (Volume Average Period) (기본값: 20)
▶ 10-15: 최근 10-15일의 평균 볼륨과 비교합니다. 변화에 민감합니다.
▶ 16-25: 지난 약 한 달간의 평균 볼륨과 비교합니다. 균형 잡힌 설정입니다.
▶ 26-50: 장기 평균 볼륨과 비교하여 정말 큰 볼륨 변화만 포착합니다.
• 볼륨 임계값 승수 (Volume Threshold Multiplier) (기본값: 1.2)
▶ 1.0-1.1: 평균보다 약 10% 정도만 높아도 유효한 볼륨으로 인정합니다.
▶ 1.2-1.5: 평균보다 20~50% 높은 볼륨을 요구합니다(예: 1.2는 평균의 120%).
▶ 1.6-2.0: 평균의 최소 1.6배(160%) 이상 되는 매우 높은 볼륨만 인정합니다.
■ 타임프레임별 추천 설정
• 짧은 시간 차트 (5분-1시간):
빠른 기간 2, 느린 기간 20, 효율성 비율 기간 8
→ 가격 변화에 빠르게 반응하며 단타에 적합합니다.
• 중기 차트 (4시간-일봉):
빠른 기간 2, 느린 기간 30, 효율성 비율 기간 10
→ 일반적인 스윙 트레이딩에 가장 균형 잡힌 설정입니다.
• 장기 차트 (일봉-주봉):
빠른 기간 2, 느린 기간 40, 효율성 비율 기간 14
→ 더 긴 추세를 매끄럽게 추적하는 데 최적화되었습니다.
■ 시장별 추천 설정
• 주식 시장:
볼륨 임계값 1.2, 볼륨 평균 기간 20
→ 평균보다 20% 많은 볼륨이 있을 때 신호가 유효합니다.
• 외환 시장:
볼륨 임계값 1.5, 효율성 비율 기간 12
→ 외환은 볼륨이 더 높아야 의미가 있으며, 약간 더 긴 효율성 측정이 필요합니다.
• 암호화폐 시장:
볼륨 임계값 1.3, 빠른 기간 2, 느린 기간 25
→ 변동성이 큰 암호화폐에 최적화된 설정입니다.
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◆ 다른 지표와의 시너지
• 이동평균선: AMA와 주요 이동평균선이 같은 방향을 가리킬 때 추세 신뢰도 상승
• RSI/스토캐스틱: 과매수/과매도 구간에서 AMA 교차 발생 시 강력한 반전 신호
• MACD: MACD 히스토그램 방향 변화와 AMA 교차가 일치하면 신호 확률 대폭 증가
• 볼린저 밴드: AMA가 볼린저 밴드 내에서 어떤 위치에 있는지로 추세 강도 판단
• 지지/저항 레벨: 중요 가격대에서 AMA 돌파 시 성공 확률이 크게 증가
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◆ 결론
AMA Momentum Vector는 적응형 이동평균의 고급 기능과 모멘텀 시각화 기술을 결합하여 정확한 가격 추세 분석을 제공합니다.
자체 조정 알고리즘으로 시시각각 변하는 시장 환경에 완벽하게 적응하며, 볼륨 확인 시스템을 통해 신뢰도 높은 매매 신호를 생성합니다.
사용자는 간단한 파라미터 조정으로 자신의 거래 스타일과 시장 상황에 맞게 지표를 최적화할 수 있어, 가격 방향, 모멘텀 강도, 볼륨 확인을 종합적으로 고려한 효과적인 거래 결정을 내릴 수 있습니다.
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※ 면책 조항: 과거 성과가 미래 결과를 보장하지 않습니다. 항상 적절한 리스크 관리 전략을 사용하세요.
MACD Liquidity Tracker Strategy [Quant Trading]MACD Liquidity Tracker Strategy
Overview
The MACD Liquidity Tracker Strategy is an enhanced trading system that transforms the traditional MACD indicator into a comprehensive momentum-based strategy with advanced visual signals and risk management. This strategy builds upon the original MACD Liquidity Tracker System indicator by TheNeWSystemLqtyTrckr , converting it into a fully automated trading strategy with improved parameters and additional features.
What Makes This Strategy Original
This strategy significantly enhances the basic MACD approach by introducing:
Four distinct system types for different market conditions and trading styles
Advanced color-coded histogram visualization with four dynamic colors showing momentum strength and direction
Integrated trend filtering using 9 different moving average types
Comprehensive risk management with customizable stop-loss and take-profit levels
Multiple alert systems for entry signals, exits, and trend conditions
Flexible signal display options with customizable entry markers
How It Works
Core MACD Calculation
The strategy uses a fully customizable MACD configuration with traditional default parameters:
Fast MA : 12 periods (customizable, minimum 1, no maximum limit)
Slow MA : 26 periods (customizable, minimum 1, no maximum limit)
Signal Line : 9 periods (customizable, now properly implemented and used)
Cryptocurrency Optimization : The strategy's flexible parameter system allows for significant optimization across different crypto assets. Traditional MACD settings (12/26/9) often generate excessive noise and false signals in volatile crypto markets. By using slower, more smoothed parameters, traders can capture meaningful momentum shifts while filtering out market noise.
Example - DOGE Optimization (45/80/290 settings) :
• Performance : Optimized parameters yielding exceptional backtesting results with 29,800% PnL
• Why it works : DOGE's high volatility and social sentiment-driven price action benefits from heavily smoothed indicators
• Timeframes : Particularly effective on 30-minute and 4-hour charts for swing trading
• Logic : The very slow parameters filter out noise and capture only the most significant trend changes
Other Optimizable Cryptocurrencies : This parameter flexibility makes the strategy highly effective for major altcoins including SUI, SEI, LINK, Solana (SOL) , and many others. Each crypto asset can benefit from custom parameter tuning based on its unique volatility profile and trading characteristics.
Four Trading System Types
1. Normal System (Default)
Long signals : When MACD line is above the signal line
Short signals : When MACD line is below the signal line
Best for : Swing trading and capturing longer-term trends in stable markets
Logic : Traditional MACD crossover approach using the signal line
2. Fast System
Long signals : Bright Blue OR Dark Magenta (transparent) histogram colors
Short signals : Dark Blue (transparent) OR Bright Magenta histogram colors
Best for : Scalping and high-volatility markets (crypto, forex)
Logic : Leverages early momentum shifts based on histogram color changes
3. Safe System
Long signals : Only Bright Blue histogram color (strongest bullish momentum)
Short signals : All other colors (Dark Blue, Bright Magenta, Dark Magenta)
Best for : Risk-averse traders and choppy markets
Logic : Prioritizes only the strongest bullish signals while treating everything else as bearish
4. Crossover System
Long signals : MACD line crosses above signal line
Short signals : MACD line crosses below signal line
Best for : Precise timing entries with traditional MACD methodology
Logic : Pure crossover signals for more precise entry timing
Color-Coded Histogram Logic
The strategy uses four distinct colors to visualize momentum:
🔹 Bright Blue : MACD > 0 and rising (strong bullish momentum)
🔹 Dark Blue (Transparent) : MACD > 0 but falling (weakening bullish momentum)
🔹 Bright Magenta : MACD < 0 and falling (strong bearish momentum)
🔹 Dark Magenta (Transparent) : MACD < 0 but rising (weakening bearish momentum)
Trend Filter Integration
The strategy includes an advanced trend filter using 9 different moving average types:
SMA (Simple Moving Average)
EMA (Exponential Moving Average) - Default
WMA (Weighted Moving Average)
HMA (Hull Moving Average)
RMA (Running Moving Average)
LSMA (Least Squares Moving Average)
DEMA (Double Exponential Moving Average)
TEMA (Triple Exponential Moving Average)
VIDYA (Variable Index Dynamic Average)
Default Settings : 50-period EMA for trend identification
Visual Signal System
Entry Markers : Blue triangles (▲) below candles for long entries, Magenta triangles (▼) above candles for short entries
Candle Coloring : Price candles change color based on active signals (Blue = Long, Magenta = Short)
Signal Text : Optional "Long" or "Short" text inside entry triangles (toggleable)
Trend MA : Gray line plotted on main chart for trend reference
Parameter Optimization Examples
DOGE Trading Success (Optimized Parameters) :
Using 45/80/290 MACD settings with 50-period EMA trend filter has shown exceptional results on DOGE:
Performance : Backtesting results showing 29,800% PnL demonstrate the power of proper parameter optimization
Reasoning : DOGE's meme-driven volatility and social sentiment spikes create significant noise with traditional MACD settings
Solution : Very slow parameters (45/80/290) filter out social media-driven price spikes while capturing only major momentum shifts
Optimal Timeframes : 30-minute and 4-hour charts for swing trading opportunities
Result : Exceptionally clean signals with minimal false entries during DOGE's characteristic pump-and-dump cycles
Multi-Crypto Adaptability :
The same optimization principles apply to other major cryptocurrencies:
SUI : Benefits from smoothed parameters due to newer coin volatility patterns
SEI : Requires adjustment for its unique DeFi-related price movements
LINK : Oracle news events create price spikes that benefit from noise filtering
Solana (SOL) : Network congestion events and ecosystem developments need smoothed detection
General Rule : Higher volatility coins typically benefit from very slow MACD parameters (40-50 / 70-90 / 250-300 ranges)
Key Input Parameters
System Type : Choose between Fast, Normal, Safe, or Crossover (Default: Normal)
MACD Fast MA : 12 periods default (no maximum limit, consider 40-50 for crypto optimization)
MACD Slow MA : 26 periods default (no maximum limit, consider 70-90 for crypto optimization)
MACD Signal MA : 9 periods default (now properly utilized, consider 250-300 for crypto optimization)
Trend MA Type : EMA default (9 options available)
Trend MA Length : 50 periods default (no maximum limit)
Signal Display : Both, Long Only, Short Only, or None
Show Signal Text : True/False toggle for entry marker text
Trading Applications
Recommended Use Cases
Momentum Trading : Capitalize on strong directional moves using the color-coded system
Trend Following : Combine MACD signals with trend MA filter for higher probability trades
Scalping : Use "Fast" system type for quick entries in volatile markets
Swing Trading : Use "Normal" or "Safe" system types for longer-term positions
Cryptocurrency Trading : Optimize parameters for individual crypto assets (e.g., 45/80/290 for DOGE, custom settings for SUI, SEI, LINK, SOL)
Market Suitability
Volatile Markets : Forex, crypto, indices (recommend "Fast" system or smoothed parameters)
Stable Markets : Stocks, ETFs (recommend "Normal" or "Safe" system)
All Timeframes : Effective from 1-minute charts to daily charts
Crypto Optimization : Each major cryptocurrency (DOGE, SUI, SEI, LINK, SOL, etc.) can benefit from custom parameter tuning. Consider slower MACD parameters for noise reduction in volatile crypto markets
Alert System
The strategy provides comprehensive alerts for:
Entry Signals : Long and short entry triangle appearances
Exit Signals : Position exit notifications
Color Changes : Individual histogram color alerts
Trend Conditions : Price above/below trend MA alerts
Strategy Parameters
Default Settings
Initial Capital : $1,000
Position Size : 100% of equity
Commission : 0.1%
Slippage : 3 points
Date Range : January 1, 2018 to December 31, 2069
Risk Management (Optional)
Stop Loss : Disabled by default (customizable percentage-based)
Take Profit : Disabled by default (customizable percentage-based)
Short Trades : Disabled by default (can be enabled)
Important Notes and Limitations
Backtesting Considerations
Uses realistic commission (0.1%) and slippage (3 points)
Default position sizing uses 100% equity - adjust based on risk tolerance
Stop-loss and take-profit are disabled by default to show raw strategy performance
Strategy does not use lookahead bias or future data
Risk Warnings
Past performance does not guarantee future results
MACD-based strategies may produce false signals in ranging markets
Consider combining with additional confluences like support/resistance levels
Test thoroughly on demo accounts before live trading
Adjust position sizing based on your risk management requirements
Technical Limitations
Strategy does not work on non-standard chart types (Heikin Ashi, Renko, etc.)
Signals are based on close prices and may not reflect intraday price action
Multiple rapid signals in volatile conditions may result in overtrading
Credits and Attribution
This strategy is based on the original "MACD Liquidity Tracker System" indicator created by TheNeWSystemLqtyTrckr . This strategy version includes significant enhancements:
Complete strategy implementation with entry/exit logic
Addition of the "Crossover" system type
Proper implementation and utilization of the MACD signal line
Enhanced risk management features
Improved parameter flexibility with no artificial maximum limits
Additional alert systems for comprehensive trade management
The original indicator's core color logic and visual system have been preserved while expanding functionality for automated trading applications.
Universal Valuation | Lyro RSUniversal Valuation
⚠️Disclaimer: This indicator is a tool for technical analysis and does not provide guaranteed results. It should be used in conjunction with other analysis methods and proper risk management practices. The creators of this indicator are not responsible for any financial decisions made based on its signals.
Overview
The Universal Valuation indicator helps identify whether the market is undervalued/cheap or overvalued/expensive. And another mode this indicator offers is This cutting-edge tool works flawlessly ACROSS ALL TIMEFRAMES & TICKERS/CHARTS.
By combining regular TradingView indicators & some of our valuation indicators basic/simple with advanced statistical functions, this indicator offers a powerful, universal valuation tool.
Key Features
INPUTS: The Universal Valuation indicator offers flexibility through its customizable input sections. The "Indicator Settings" let you adjust lengths for the raw indicators and statistical functions. The "Signals" section defines thresholds for background color changes, helping you visually spot key market moments. The "Colors" section allows you to pick from pre-defined schemes or personalize colors for better clarity. Lastly, the "Tables" section gives you full control over the UV table’s size and positioning, including options to overlay it on the chart or place it in the allocated space.
A DEEPER INSIGHT: This indicator is built around three distinct categories: "UVM Andromeda," "UVM Sentinel," and "UVM Nexus." Each category has three different drivers. The statistical function powering this indicator is the Z-score. The Z-score is an incredibly powerful tool that helps determine if the market is overvalued/expensive or undervalued/cheap, offering critical insights for traders."
Plotting: The plotted value represents the average of all the drivers. In other words, it is the combined average of all 9 Z-scored indicators, providing a balanced and comprehensive market valuation.
What is Z-score? & Why does this system use it?
Z-score is an advanced statistical function used to measure how far a value deviates from the average in a data set. The formula for Z-score is: (x - h) / o, where x is the observed value, h is the average (mean) of the data set, and o is the standard deviation.
This system uses the Z-score because it helps determine whether the market is overvalued or undervalued based on historical data and how we apply the calculation. By measuring how far a value deviates from the average, the Z-score provides a clearer and more objective valuation of market conditions. In our case, a Z-score of -3 indicates an undervalued market, while a Z-score of 3 signals an overvalued market.
UVM Andromeda:
UVM stands for Universal Valuation Model, which is the core of this indicator. Andromeda, one of the most stunning galaxies in the universe, inspired by its name. We chose this name because a powerful indicator should not only be effective but also visually appealing.
You might be wondering what drives UVM Andromeda. The three key drivers are Price, RSI, and ROC. These indicators are pre-defined, while the "Indicator Settings" allow you to adjust the length of the Z-score calculation, refining how the model analyzes market conditions.
UVM Sentinel:
Sentinel, refers to a guard or watchman, someone or something that keeps watch and provides protection. In our case this name refers to a model that actively observes market conditions, acting as a vigilant tool that signals important shifts in valuation.
Wondering what drives UVM Sentinel? The three key drivers are BB%, CCI, and Crosby. While these indicators are simple on their own, applying our Z-score function elevates them to a whole new level, enhancing their ability to detect market conditions with greater accuracy.
UVM Nexus:
We chose the name Nexus simply because it sounds cool—there’s no deeper meaning behind it for us. However, the word itself does have a meaning; it refers to a connection or link between multiple things.
The three key drivers for UVM Nexus are the Sharpe, Sortino, and Omega ratios. These are all asset performance metrics, but by applying the Z-score, we transform them into powerful valuation indicators/drivers, giving you a deeper insight into market conditions.
Why do we use 9 different indicators instead of 1?
That's a great question, and the answer is quite simple. Think of it like this: if you have one super soldier, and they miss a shot, it’s game over. But if you have many soldiers, even if one misses, the others can step in and take the shot. The strength of using multiple indicators lies in their collective power – if one misses, the others still provide valuable insights, making the overall system more reliable.
Final Thoughts:
In our Universal Valuation indicator, you have the flexibility to customize it however you like using our inputs. The system is divided into three distinct categories, with each category containing three indicators. The value plotted on the chart is the average of all nine indicators. We apply the Z-score, an advanced statistical function, to each of these nine indicators. The final plotted average is the average of all the Z-scores, giving you a comprehensive and refined market valuation. This indicator can work on any timeframe & chart ticker.
Apex Edge - RSI Trend LinesThe Apex Edge - RSI Trend Lines indicator is a precision tool that automatically draws real-time trendlines on the RSI oscillator using confirmed pivot highs and lows. These dynamic trendlines track RSI structure in motion, helping you anticipate breakout zones, reversals, and hidden divergences.
Every time a new pivot forms, the indicator automatically re-draws the RSI trendline between the two most recent pivots — giving you an always-current view of momentum structure. You’ll instantly see when RSI begins compressing or expanding, long before price reacts.
Key Features: • Dynamic RSI trendlines drawn from the last 2 pivots
• Auto re-draws in real-time as new pivots form
• Optional "Full Extend" or "Pivot Only" modes
• Slope color-coded: green = support, red = resistance
• Built-in dotted RSI levels (30/70 default)
• Alert conditions for RSI trendline breakout signals
• Ideal for spotting divergence, compression, and early SMC confluence
This is not your average RSI — it’s a fully reactive momentum edge overlay designed to give you clarity, structure, and timing from within the oscillator itself. Perfect for traders using Smart Money Concepts, divergence setups, or algorithmic trend tracking.
⚔️ Built for precision. Built for edge. Built for Apex.
Zero-Lag RSI DivergenceZero-Lag RSI Divergence
Overview
This indicator identifies RSI divergences in real-time without delay, providing immediate signals as price-momentum discrepancies develop. The indicator analyzes price action against RSI momentum across dual configurable periods, enabling traders to detect potential reversal opportunities with zero lag.
Key Features
Instant Divergence Detection : Identifies bullish and bearish divergences immediately upon formation without waiting for candle confirmation or historical validation. This eliminates signal delay but may increase false signals due to higher sensitivity.
Dual Period Analysis : Configure detection across two independent cycles - Short Period (default 15) and Long Period (default 50) - allowing for multi-timeframe divergence analysis and enhanced signal validation across different market conditions.
Visual Divergence Lines : Automatically draws dashed lines connecting divergence points between price highs/lows and corresponding RSI peaks/troughs, clearly illustrating the momentum-price relationship.
Customizable RSI Parameters : Adjustable RSI length (default 14) allows optimization for different market volatility and trading timeframes.
How It Works
The indicator continuously monitors price action patterns and RSI momentum:
- Bullish Divergence : Detected when price makes lower lows while RSI makes higher lows, suggesting potential upward momentum
- Bearish Divergence : Identified when price makes higher highs while RSI makes lower highs, indicating potential downward momentum
The algorithm uses candle color transitions and immediate RSI comparisons to trigger signals without historical repainting , ensuring backtesting accuracy and real-time reliability.
How To Read
Important Notes
Higher Signal Frequency : The zero-lag approach increases signal sensitivity, generating more frequent alerts that may include false signals. Consider using additional confirmation methods for trade entries.
Non-Repainting : All signals are generated and maintained without historical modification, ensuring consistent backtesting and forward-testing results.
Input Parameters
RSI Length: Period for RSI calculation (default: 14)
Short/Long Periods: Lookback periods for divergence detection (default: 15/50)
Line Colors: Customizable colors for short and long period divergence lines
Label Settings: Optional divergence labels with custom text
This indicator is designed for traders seeking immediate divergence identification across multiple timeframes while maintaining signal integrity and backtesting reliability.
52SIGNAL RECIPE Market Structure Reversal Signals═══ 52SIGNAL RECIPE Market Structure Reversal Signals ═══
◆ Overview
52SIGNAL RECIPE Market Structure Reversal Signals is a technical indicator designed to detect structural changes in price charts and identify potential trend reversals. By tracking highs and lows over a specified period, this indicator provides clear visual signals when significant price breakouts occur, helping traders capture directional changes in the market early.
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◆ Key Features
• Structural Reversal Detection: Provides potential trend change signals when price breaks through recent N-day highs/lows
• Duplicate Signal Prevention: Filters out consecutive signals in the same direction
• Intuitive Visualization: Clearly distinguishes bullish/bearish reversal signals by color and position on the chart
• Confirmed Bar Based: Generates signals only after bars are completely closed, enhancing reliability
• Customizable Settings: Adjustable tracking period to optimize for various market environments and timeframes
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◆ Technical Foundation
■ Market Structure Analysis Principle
• High/Low Tracking: Identifies previous highs (LH) and lows (HL) over the specified period
• Structural Breakout: Interprets as structural change when closing price breaks above previous high or below previous low
• Confirmed Bar Verification: Minimizes false signals by generating signals only after the current bar has completely closed
■ Signal Filtering Mechanism
• Signal State Tracking: Prevents duplicate signals by tracking the direction of the last generated signal
• Directional Change Focus: Suppresses signals in the same direction until an opposite signal occurs
• Noise Reduction: Focuses only on important level breakouts, eliminating unnecessary signals
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◆ Practical Applications
■ Trend Reversal Point Identification
• Bullish Trend Starting Point:
▶ When bullish reversal signal occurs after a downtrend
▶ When upward momentum is confirmed by breaking previous high
• Bearish Trend Starting Point:
▶ When bearish reversal signal occurs after an uptrend
▶ When downward momentum is confirmed by breaking below previous low
• Range Breakout Detection:
▶ Potential trend formation signals when breaking upper/lower boundaries in a ranging market
■ Trading Strategy Application
• Trend Following Strategy:
▶ Consider buy entry when bullish reversal signal occurs
▶ Consider sell entry when bearish reversal signal occurs
• Reversal Trading:
▶ Signals occurring at support/resistance levels provide high-probability entry points
▶ Reversal signals in overbought/oversold conditions strengthen trend reversal possibility
• Risk Management:
▶ Consider closing or reducing positions when opposite signals occur
▶ Set precise stop-loss points by combining with key technical levels
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◆ Advanced Setting Options
■ Tracking Period (N-day) Adjustment
• Short-term Setting: 10-15 days (sensitive signals, quick reaction, suitable for short-term trading)
• Medium-term Setting: 20-30 days (balanced signals, general trend detection, recommended default)
• Long-term Setting: 40-50 days (strong filtering, detects only major trend reversals, suitable for long-term investment)
■ Timeframe Optimization
• Daily Chart: 20-30 day setting (medium-term trend change detection)
• 4-Hour Chart: 30-40 setting (short-term swing trading signals)
• Hourly Chart: 40-50 setting (intraday trend change detection)
• Intraday Chart: 10-20 setting (scalping and short-term trading)
■ Market Type Adjustment
• High Volatility Markets: Higher N values (30-50) to filter noise
• Trending Markets: Medium N values (20-30) to capture only major reversals
• Ranging Markets: Lower N values (10-20) to capture range-bound movements
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◆ Synergy with Other Indicators
• Moving Averages: Signal strength enhanced when Market Structure Reversal Signals align with key moving average crossovers
• RSI: Market Structure Reversal Signals occurring at overbought/oversold levels increase reversal probability
• Volume Indicators: Market Structure Reversal Signals accompanied by high volume enhance reliability
• Fibonacci Levels: Market Structure Reversal Signals occurring at key Fibonacci levels provide important turning points
• Channel Indicators: Powerful breakout confirmation when price channel upper/lower breakthroughs coincide with Market Structure Reversal Signals
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◆ Conclusion
52SIGNAL RECIPE Market Structure Reversal Signals objectively identifies structural changes in the market and clearly visualizes potential trend reversal points. Its simple yet powerful approach of detecting directional changes through recent N-day high/low breakouts provides flexibility applicable to various market environments and trading styles. The duplicate signal prevention mechanism and confirmed bar-based signal generation greatly enhance signal quality and reliability. When combined with other technical indicators, synergy effects can be maximized, providing traders with a valuable tool to capture market turning points early.
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※ Disclaimer: Past performance does not guarantee future results. Always use appropriate risk management strategies.
═══ 52SIGNAL RECIPE Market Structure Reversal Signals ═══
◆ 개요
52SIGNAL RECIPE Market Structure Reversal Signals는 가격 차트의 구조적 변화를 감지하여 잠재적인 추세 반전을 식별하는 기술적 지표입니다. 이 지표는 최근 N일 동안의 고점과 저점을 추적하여 의미 있는 가격 돌파가 발생할 때 명확한 시각적 신호를 제공함으로써, 트레이더가 시장의 방향성 변화를 조기에 포착할 수 있도록 도와줍니다.
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◆ 주요 특징
• 구조적 반전 탐지: 가격이 최근 N일 고점/저점을 돌파할 때 잠재적 추세 변화 신호 제공
• 중복 신호 방지: 동일한 방향의 신호가 연속으로 반복되지 않도록 필터링
• 직관적인 시각화: 상승/하락 반전 신호를 차트 상에서 색상과 위치로 명확히 구분
• 확정 봉 기반: 봉이 완전히 종료된 후에만 신호 생성하여 신뢰도 향상
• 사용자 정의 설정: 추적 기간을 조정하여 다양한 시장 환경과 타임프레임에 최적화 가능
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◆ 기술적 기반
■ 시장 구조 분석 원리
• 고점/저점 추적: 지정된 기간 동안의 이전 고점(LH)과 저점(HL) 식별
• 구조적 돌파: 종가가 이전 고점을 상향 돌파하거나 이전 저점을 하향 돌파할 때 구조적 변화로 해석
• 확정 봉 검증: 현재 봉이 완전히 종료된 후에만 신호 생성하여 오신호 최소화
■ 신호 필터링 메커니즘
• 신호 상태 저장: 마지막 생성된 신호의 방향을 추적하여 동일 방향 신호 중복 방지
• 방향성 전환 초점: 반대 방향 신호가 발생할 때까지 동일 방향 신호 억제
• 노이즈 감소: 중요 수준 돌파에만 집중하여 불필요한 신호 제거
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◆ 실용적 응용
■ 추세 전환점 식별
• 상승 추세 시작점:
▶ 하락 추세 후 상승 반전 신호 발생 시
▶ 이전 고점 돌파로 상승 모멘텀 확인 시
• 하락 추세 시작점:
▶ 상승 추세 후 하락 반전 신호 발생 시
▶ 이전 저점 이탈로 하락 모멘텀 확인 시
• 범위 돌파 감지:
▶ 횡보 시장에서 상/하 경계 돌파 시 잠재적 추세 형성 신호
■ 트레이딩 전략 적용
• 추세 추종 전략:
▶ 상승 반전 신호 발생 시 매수 진입 고려
▶ 하락 반전 신호 발생 시 매도 진입 고려
• 반전 트레이딩:
▶ 지지/저항 수준에서 반전 신호 발생 시 높은 확률의 진입점 제공
▶ 과매수/과매도 상태에서의 반전 신호는 추세 전환 가능성 강화
• 리스크 관리:
▶ 반대 방향 신호 발생 시 포지션 종료 또는 축소 고려
▶ 주요 기술적 수준과 결합하여 정밀한 손절점 설정 가능
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◆ 고급 설정 옵션
■ 추적 기간(N일) 조정
• 단기 설정: 10-15일 (민감한 신호, 빠른 반응, 단기 트레이딩에 적합)
• 중기 설정: 20-30일 (균형 잡힌 신호, 일반적 추세 감지, 기본 권장)
• 장기 설정: 40-50일 (강한 필터링, 주요 추세 전환만 감지, 장기 투자에 적합)
■ 타임프레임별 최적화
• 일봉 차트: 20-30일 설정 (중기 추세 변화 감지)
• 4시간 차트: 30-40 설정 (단기 스윙 트레이딩 신호)
• 시간봉 차트: 40-50 설정 (일중 추세 변화 감지)
• 일중 차트: 10-20 설정 (스캘핑 및 단기 거래)
■ 시장 유형별 조정
• 변동성 높은 시장: 높은 N값 (30-50) 설정으로 노이즈 필터링
• 추세 시장: 중간 N값 (20-30) 설정으로 주요 반전만 포착
• 횡보 시장: 낮은 N값 (10-20) 설정으로 범위 내 움직임 포착
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◆ 다른 지표와의 시너지
• 이동평균선: Market Structure Reversal Signals 신호와 주요 이동평균선 교차 지점이 일치할 때 신호 강화
• RSI: 과매수/과매도 수준에서의 Market Structure Reversal Signals 신호는 반전 가능성 높임
• 볼륨 지표: 높은 볼륨과 함께 발생하는 Market Structure Reversal Signals 신호는 신뢰도 향상
• 피보나치 레벨: 주요 피보나치 레벨에서 발생하는 Market Structure Reversal Signals 신호는 중요한 전환점 제공
• 채널 지표: 가격 채널의 상단/하단 돌파와 Market Structure Reversal Signals 신호 일치 시 강력한 돌파 확인
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◆ 결론
52SIGNAL RECIPE Market Structure Reversal Signals는 시장의 구조적 변화를 객관적으로 식별하여 잠재적인 추세 전환점을 명확하게 시각화합니다. 최근 N일 고점/저점 돌파를 통해 방향성 변화를 감지하는 단순하면서도 강력한 접근 방식은 다양한 시장 환경과 트레이딩 스타일에 적용할 수 있는 유연성을 제공합니다. 중복 신호 방지 메커니즘과 확정 봉 기반 신호 생성은 신호의 품질과 신뢰성을 크게 향상시킵니다. 다른 기술적 지표와 결합하여 사용할 때 시너지 효과를 극대화할 수 있으며, 트레이더에게 시장의 전환점을 조기에 포착할 수 있는 귀중한 도구를 제공합니다.
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※ 면책 조항: 과거 성과가 미래 결과를 보장하지 않습니다. 항상 적절한 리스크 관리 전략을 사용하세요.
EMA Curl Strength+EMA Curl Strength+
Description:
This indicator provides a statistically normalized view of EMA slope momentum using Z-score transformation. By evaluating the rate of change of an EMA and comparing it against its historical behavior, the script highlights momentum shifts in a dynamic, adaptive way.
⸻
How It Works:
• Calculates the slope (percentage change) of a chosen EMA.
• Normalizes the slope using Z-score over a custom lookback period.
• Smooths the resulting signal and computes two signal lines for comparison.
• Assigns dynamic colors based on user-defined Z-score thresholds for mild, moderate, and strong momentum in both directions.
⸻
Visual Features:
• Gradient fill between the Z Curl Line and Signal 1 to highlight slope acceleration.
• Histogram showing the difference between the Z Curl Line and its signal.
• Optional signal crossover shapes between configurable pairs (e.g., Z Curl vs. Signal).
• Background highlights when the Z Curl Line exceeds ±2, indicating strong trending behavior.
⸻
Customization:
• Adjustable EMA length, smoothing lengths, signal lengths, histogram smoothing, and Z-score lookback.
• Separate color controls for:
• Z-score strength bands (mild/moderate/strong up/down)
• Histogram bars
• Signal lines
• Background highlight zones
• Crossover shapes
⸻
Use Cases:
• Momentum Confirmation: Confirm strength when Z Curl exceeds ±2 with matching background highlights.
• Trend Entry Timing: Look for trades when Z Curl crosses above or below the 0-line.
• Scalping: Capture quick directional moves when momentum accelerates.
• Trend Following: Use strong Z Curl values to confirm trade direction and filter sideways action.
• Divergence Detection: Spot divergences between price and Z Curl movement to anticipate reversals.
RSI with 2-Pole FilterA momentum indicator that tells you if a stock is overbought or oversold.
RSI goes between 0 and 100.
70 = overbought (might fall)
<30 = oversold (might rise)
It often looks jagged or choppy on volatile days.
Think of this filter like a momentum smoother:
It still follows RSI closely,
But it doesn’t react to every little jiggle in price,
Which helps avoid false signals.
it keeps track of:
The current RSI,
The last 2 RSI values (inputs), and
The last 2 outputs (filtered RSIs).
It uses feedback to shape the output based on previous values, making it smoother than a simple moving average.
Degen Screener – ALTs vs. BTCDegen Screener – ALTs vs. BTC
🛠️ What This Script Does:
This multi-asset screener monitors up to 10 cryptocurrencies and compares their RSI strength relative to Bitcoin (BTC) — acting like BTC is the "north star." It's perfect for catching early shifts in momentum across the crypto market.
🎨 Color Logic:
RSI Column:
RSI < 30 → Green (oversold)
RSI > 70 → Red (overbought)
In between → Gray
Relative RSI Column:
0 → Green (stronger than BTC)
< 0 → Red (weaker than BTC)
Trend Column:
🤑 → Bullish shift (green background)
🖕 → Bearish shift (red background)
🔔 Alert Conditions:
Alerts fire when all three of these are true:
RSI is below 30 (oversold)
The asset is stronger than BTC
Momentum is turning bullish (🤑)
Perfect for spotting early reversals in oversold altcoins.
✅ How to Use:
Add the script to any chart (doesn’t matter which asset)
Customize the list of up to 10 symbols
Set your timeframe
Enable the alert condition: Relative RSI Signal
💡 Notes:
Script runs on whatever chart you’re on, but it pulls data from the 10 assets you select on your indicator.
⚠️ Disclaimer:
This tool is for educational and informational purposes only. It is not financial advice. Always do your own research.
TZanalyserTZanalyser (Trend Zone Monitor With Trend Strength, Volume Focus And -Events Markers)
Before I used TrendZones to manage my portfolio I used Fibonacci Zone Oscillator as my favorite in the sub panel, accompanied with another subpanel indicator which I never published called IncliValue and also REVE Cohorts.
TZanalyser inherits Ideas and code from all three of them: The visual and the idea of using a channel as the basis for an oscillator depicted as a histogram, is taken from the FibZone Oscillator. The idea of providing a number to evaluate the trend is taken from IncliValue. The idea to create a horizontal line which indicates high and low volume focus completed with markers for volume events, is taken from REVE-cohorts.
These ideas are combined in one sleek visual called TZanalyser. TZ stand for TrendZones, because the histogram is based on it.
The histogram.
Depicted is the distance of the price from COG as percent. The distance between Upper Curve and Lower Curve is used as 100%. The values may reach between 300 and -300. The colors indicate in which zone the candle lives, blue in the blue zone, green in the green zone etc. Despite the absence of a gray zone, there are gray bars. These depict candles that wrap around COG. Because hl2 is used as price, some gray bars point up and others down. The orange and red bars point down because the orange and red downtrend zones are below COG.
Use of the histogram.
Sometimes I need to create a list of stocks which are in uptrend in monthly, weekly and daily charts from the stocks I follow in my universe. This job is done fast and easy by looking at the last bar of the histogram. The histogram also gives a quick evaluation of how the stock fared in the past.
The number.
Suppose I need to allocate some money to another stock, selected a few, looked into news and gurus and they look equally good. Then it is nice to be able to find out which has the best charts. Which one has the strongest uptrend. For this purpose this number can be consulted, because it indicates somehow the strength of the trend. It is an integer between 20 and -20, the closer to 20 the stronger the uptrend, closer to -20 indicates a stronger downtrend. The color of the background is the same as the last column of the histogram.
Volume focus and events
The horizontal lines depict volume focus, the line below the focus that comes with the uptrend columns pointing up, the one above the focus for the downtrend columns pointing down. Thes line have tree colors: maroon for high volume focus, green for normal volume and gray for low volume situations. Between the lines and the histogram triangles appear at volume events, a green triangle when the candle comes with high volume, i.e. 120-200 percent of normal, maroon when extreme volume, i.e. more than 200 percent of normal.
The direction of these triangles is that of the histogram, i.e. when the price is higher, direction is up and vice versa.
Take care and have fun.
Pure Price Action Momentum OscillatorComplete Trading Guide: Pure Price Action Momentum Oscillator
1. Script Overview
What It Does
Tracks real-time momentum strength (bullish/bearish acceleration)
Identifies dynamic support/resistance zones for momentum (not price)
Alerts when momentum breaks or holds critical levels
What It Doesn’t Do
Predict long-term trends (use with trend indicators)
Replace price-based S/R levels (use alongside them)
Work well in extreme choppiness (adjust settings or avoid)
2. Key Features & Components
Feature Purpose Visual Cue
Momentum Histogram Shows strength/direction of price acceleration Color-coded bars
Zero Line Bullish/bearish momentum baseline Gray line (0 level)
Support Zone (Blue) Momentum floor where bounces happen Blue horizontal line
Resistance Zone (Orange) Momentum ceiling where pullbacks start Orange horizontal line
Stateful Alerts Persistent signals until conditions reverse Green/Red labels
3. Best Timeframes & Markets
Market Recommended Timeframe Notes
Stocks 5min - 1H Works best with high liquidity
Forex 15min - 4H Avoid during major news spikes
Crypto 1H - 4H Use with volume confirmation
Futures 5min - 1H Ideal for intraday momentum trades
❌ Avoid: Tick charts, <1min (too noisy), >Daily (loses sensitivity).
4. Confirmation Tools (Must-Use Combos)
A. Trend Confirmation
200 EMA (Price Chart)
Only trade longs if price > 200 EMA + momentum supports
Only trade shorts if price < 200 EMA + momentum confirms
ADX (14)
Use when ADX > 25 (strong trend) + momentum aligns
B. Volume Confirmation
Volume Profile
Enter longs only if momentum breaks resistance at high-volume nodes
VWAP
Buy pullbacks when momentum holds support and price is above VWAP
C. Price Structure
Fibonacci Retracements
Look for momentum breaks at 61.8% Fib levels for high-probability trades
Market Structure (Higher Lows/Lower Highs)
Momentum breakouts work best when price confirms trend
5. Trading Signals & Execution Rules
A. Breakout Trades (High Momentum)
Signal Conditions Action
Resistance Broken Histogram > Orange Zone + Price > Key S/R Enter Long
Support Broken Histogram < Blue Zone + Price < Key S/R Enter Short
Stop Loss:
Longs: 1 tick below nearest swing low
Shorts: 1 tick above nearest swing high
Take Profit:
Trail using the opposite zone (exit long when momentum drops below support)
B. Reversal Trades (Momentum Exhaustion)
Signal Conditions Action
Resistance Holding Histogram rejects Orange Zone + Bearish candle Short Entry
Support Holding Histogram bounces off Blue Zone + Bullish candle Long Entry
Stop Loss:
Beyond the recent swing high/low
Take Profit:
At next key S/R level
6. Advanced Interpretation
A. Divergence Trading
Hidden Bullish Divergence:
Price makes higher low, but momentum makes lower low → Potential reversal up
Hidden Bearish Divergence:
Price makes lower high, but momentum makes higher high → Potential reversal down
B. Session-Based Trading
London Open (3 AM EST): Watch for momentum breaks with volume surge
NY Midday (10 AM - 12 PM EST): Best for trend continuation
Crypto (UTC Midnight): Often sees volatility spikes
7. Risk Management & Position Sizing
Risk per trade: 1-2% of account
Leverage: ≤5x for intraday, ≤2x for swing
Avoid trading:
First 15 mins after major news
Low-volume periods (e.g., forex after 5 PM EST)
8. Pro Tips for Consistency
✅ Wait for Close: Don’t trade wicks, wait for candle close beyond zones.
✅ Combine with Price Action: Only trade if momentum aligns with candlestick patterns (e.g., pin bars, engulfing).
✅ Adjust Lookback: Increase in choppy markets, decrease in trends.
9. Limitations & Fixes
Issue Solution
Whipsaws in choppy markets Increase Min Lookback to 30+
Slow reaction in trends Reduce Max Lookback to 50
False breakouts Require volume confirmation
Final Verdict
This script is best used as a momentum filter – not a standalone system. Combine with:
✔ Trend indicators (200 EMA, ADX)
✔ Volume analysis (VWAP, Volume Profile)
✔ Price structure (S/R, Fibs)
RSI Mansfield +RSI Mansfield+ – Adaptive Relative Strength Indicator with Divergences
Overview
RSI Mansfield+ is an advanced relative strength indicator that compares your instrument’s performance against a configurable benchmark index or asset (e.g., Bitcoin Dominance, S&P 500). It combines Mansfield normalization, adaptive smoothing techniques, and automatic detection of bullish and bearish divergences (regular and hidden), delivering a comprehensive tool for assessing relative strength across any market and timeframe.
Originality and Motivation
Unlike traditional relative strength scripts, this indicator introduces several distinctive improvements:
Mansfield Normalization: Scales the ratio between the asset and the benchmark relative to its moving average, transforming it into a normalized oscillator that fluctuates around zero, making it easier to spot outperformance or underperformance.
Adaptive Smoothing: Automatically selects whether to use EMA or SMA based on the market type (crypto or stocks) and timeframe (intraday, daily, weekly, monthly), avoiding manual configuration and providing more robust results under varying volatility conditions.
Divergence Detection: Identifies four types of divergences in the Mansfield oscillator to help anticipate potential reversal points or trend confirmations.
Multi-Market Support: Offers benchmark selection among major crypto and global stock indices from a single input.
These enhancements make RSI Mansfield+ more practical and powerful than conventional relative strength scripts with static benchmarks or without divergence capabilities.
Core Concepts
Relative Strength (RS): Compares price evolution between your asset and the selected benchmark.
Mansfield Normalization: Measures how much the RS deviates from its historical moving average, expressed as a scaled oscillator.
Divergences: Detects regular and hidden bullish or bearish divergences within the Mansfield oscillator.
Timeframe Adaptation: Dynamically adjusts moving average lengths based on timeframe and market type.
How It Works
Benchmark Selection
Choose among over 10 indices or market domains (BTC Dominance, ETH Dominance, S&P 500, European indices, etc.).
Ratio Calculation
Computes the price-to-benchmark ratio and smooths it with the adaptive moving average.
Normalization and Scaling
Transforms deviations into a Mansfield oscillator centered around zero.
Dynamic Coloring
Green indicates relative outperformance, red signals underperformance.
Divergence Detection
Automatically identifies bullish and bearish (regular and hidden) divergences by comparing oscillator pivots against price pivots.
Baseline Reference
A clear zero line helps interpret relative strength trends.
Usage Guidelines
Benchmark Comparison
Ideal for traders analyzing whether an asset is outperforming or lagging its sector or market.
Divergence Analysis
Helps detect potential reversal or continuation signals in relative strength.
Multi-Timeframe Compatibility
Can be applied to intraday, daily, weekly, or monthly charts.
Interpretation
Oscillator >0 and green: outperforming the benchmark.
Oscillator <0 and red: underperforming.
Bullish divergences: potential relative strength reversal to the upside.
Bearish divergences: possible loss of momentum or reversal to the downside.
Credits
The concept of Mansfield Relative Strength is based on Stan Weinstein’s original work on relative performance analysis. This script was built entirely from scratch in TradingView Pine Script v6, incorporating original logic for adaptive smoothing, normalized scaling, and divergence detection, without reusing any external open-source code.
Volume Velocity Range (VVR)Overview
The Volume Velocity Range (VVR) is an advanced momentum oscillator that combines price movement, volume dynamics, and statistical analysis to identify potential trend changes and market extremes. Operating on a 0-100 scale, VVR provides traders with a sophisticated view of market momentum that goes beyond traditional indicators.
Key Components
1. VVR Main Oscillator (0-100)
Measures the velocity of price movement weighted by volume participation
Incorporates advanced normalization techniques to maintain consistency across different market conditions
Green when above the 33rd percentile line (bullish momentum)
Red when below the 33rd percentile line (bearish momentum)
Smoothed calculation reduces noise while maintaining responsiveness
2. Dynamic 33rd Percentile Baseline
Adaptive reference line that adjusts to recent market behavior
Acts as the key threshold for color changes and momentum assessment
Automatically switches calculation method based on:
Crypto (Hourly): 168-period rolling window (7 days)
Stocks (Hourly): Expanding window (all available history)
Daily Timeframe: 20-period rolling for all assets
Three visual styles: Dotted, Step, or Thin line
Triangle markers indicate crossover points
3. Bottom Finder Indicator
Purple line analyzing volume absorption patterns
Measures the relationship between buying/selling pressure and price movement
Helps identify potential accumulation zones and market bottoms
Particularly useful during downtrends and consolidation periods
Visual Features
Trend Status Label
Real-time trend classification from "Strong Accel Up" to "Strong Accel Down"
Color-coded for quick visual reference
Updates dynamically as market conditions change
Fill Zones
Optional transparent fill between VVR and percentile line
Green when VVR is above the 33rd percentile (bullish bias)
Red when below (bearish bias)
Optional Components
VVR Slope indicator (hidden by default) for momentum rate analysis
Symbol type debugging label
ROC calculations available but hidden for advanced users
Trading Applications
Trend Identification
VVR above 33rd percentile (green) suggests bullish momentum
VVR below 33rd percentile (red) indicates bearish pressure
The 50 level serves as a general equilibrium point
Distance from percentile line indicates momentum strength
Reversal Signals
Crossovers of the 33rd percentile line are primary trend change signals
Green-to-red color changes warn of weakening momentum
Extreme readings (>80 or <20) may indicate overbought/oversold conditions
Bottom Finder divergences can signal accumulation
Risk Management
Use 33rd percentile line as dynamic support/resistance
Color changes provide immediate visual momentum shifts
Multiple timeframe analysis for confirmation
Alert Conditions
VVR crossing 50 (midline equilibrium)
VVR crossing 33rd percentile (primary signal)
Trend direction changes
Extreme level alerts (70/30)
Best Practices
For Crypto Trading
Utilizes 7-day rolling window on hourly charts
Adapts to 24/7 market dynamics
Particularly effective for momentum-based strategies
For Stock Trading
Expanding window captures long-term market character
Ideal for swing trading and position entries
Works well with volume-based strategies
Timeframe Considerations
Hourly: Best for short-term momentum trades
Daily: Optimal for swing trading positions
Automatically adjusts calculations based on timeframe
Customization Options
Adjust calculation periods for different trading styles
Toggle visual components based on preference
Color scheme fully customizable
Line styles and fills can be modified
Advanced Features
Intelligent asset detection (crypto vs stocks)
Automatic timeframe optimization
Statistical normalization for consistency
Safety mechanisms prevent extreme readings
This indicator represents a comprehensive approach to momentum analysis, combining traditional technical analysis concepts with modern statistical methods and adaptive calculations. It's designed for traders who need reliable signals across different market conditions and asset classes.
QQE + Signals RNEdited this to do away with larged signals of long and short to small triangles labeld only with QQE text
RSI Multi-Frame Multi-Asset
✅ Key Features:
Multi-Asset: Simultaneously analyze Bitcoin, SP500, Nasdaq, DXY, Gold, Oil, VIX and more
Multi-Timeframe: Configure any timeframe for all RSI calculations
Smart Average RSI: Automatically calculates the mean of all active RSI values
Special Data: Includes Bitcoin Hashrate, 10Y-2Y Spread, and US Interest Rates
Built-in Alerts: Automatic notifications on overbought/oversold crossovers
🎯 Why is it Unique?
Instead of looking at 10 different charts, you get an instant macro view of the market. The average RSI shows you the overall strength/weakness of global markets, while individual RSI values let you identify divergences and specific opportunities.
🚀 Perfect For:
Traders seeking correlations between assets
Global markets macro analysis
Identifying divergences between Bitcoin and traditional markets
Multi-timeframe breakout trading
Inflection PointInflection Point - The Adaptive Confluence Reversal Engine
This is not just another peak and valley indicator; it is a complete and total reimagining of how market turning points are detected, qualified, and acted upon. Born from the foundational concepts explored in systems like my earlier creation, DAFE - Turning Point, Inflection Point is a ground-up engineering feat designed for the modern trader. It moves beyond static rules and simple pattern recognition into the realm of dynamic, multi-factor confluence analysis and adaptive machine learning.
Where other indicators provide a guess, Inflection Point provides a probability. It meticulously analyzes the market's deepest currents—momentum, exhaustion, and reversal velocity—and fuses them into a single, unified "Confluence Score." This is not a simple combination of indicators; it is an intelligent, weighted system where each component works in concert, creating an analytical engine that is orders of magnitude more sophisticated and reliable than any standard reversal tool.
Furthermore, Inflection Point learns. Through its advanced Adaptive Learning Engine, it constantly monitors its own performance, adjusting its confidence and selectivity in real-time based on its recent success rate. This allows it to adapt its behavior to any security, on any timeframe, with remarkable success.
Theoretical Foundation - Confluence Core
Inflection Point's predictive power does not come from a single, magical formula. It comes from the intelligent synthesis of three critical market phenomena, weighted and scored in real-time to generate a single, high-conviction probability rating.
1. Factor One: Pre-Reversal Momentum State (RSI Analysis)
Instead of reacting to a simple RSI cross, Inflection Point proactively scans for the build-up of momentum that precedes a reversal.
• Formulaic Concept: It measures the highest RSI value over a lookback period for peaks and the lowest RSI for valleys. A signal is only considered valid if significant momentum has been established before the turn, indicating a stretched market condition ripe for reversal.
• Asymmetric Sophistication: The engine uses different, optimized thresholds for bull and bear momentum, recognizing that markets often fall faster than they rise.
2. Factor Two: Volatility Exhaustion (Bollinger Band Analysis)
A true reversal often occurs when price makes a final, exhaustive push into unsustainable territory.
• Formulaic Concept: The engine detects when price has significantly pierced the outer Bollinger Bands. This is not just a touch, but a statistical deviation from the mean that signals volatility exhaustion, where the energy for the current move is likely depleted.
3. Factor Three: Reversal Strength (Rate of Change Analysis)
The character of a reversal matters. A sharp, decisive turn is more significant than a slow, meandering one.
• Formulaic Concept: Using a short-term Rate of Change (ROC), the engine measures the velocity of the reversal itself. A higher ROC score adds significant weight to the final probability, confirming that the new direction has conviction.
4. The Final Calculation: The Adaptive Learning Engine
This is the system's "brain." It maintains a history of its past signals and calculates its real-time win rate. This hitRate is then used to generate an adaptiveMultiplier.
• Self-Correction: In "Quality Control" mode, a high win rate makes the indicator more selective, demanding a higher probability score to issue a signal, thereby protecting streaks. A lower win rate makes it slightly less selective to ensure it continues learning from new market conditions.
• The result is a system that is not static, but a living, breathing tool that adapts its personality to the unique rhythm of any chart.
Why Inflection Point is a Paradigm Shift
Inflection Point is fundamentally different from other reversal indicators for three key reasons:
Confluence Over Isolation: Standard indicators look at one thing (e.g., RSI > 70). Inflection Point simultaneously analyzes momentum, volatility, and velocity, understanding that true reversals are a product of multiple converging factors. It answers not just "if," but "why" a reversal is likely.
Probabilistic Over Binary: Other tools give you a simple "yes" or "no." Inflection Point provides a probability score from 0-100, allowing you to gauge the conviction of every potential signal. This empowers you to differentiate between a weak setup and an A+ opportunity.
Adaptive Over Static: Every other indicator uses the same rules forever. Inflection Point's Adaptive Engine means it is constantly refining its own logic based on what is actually working in the current market, on the specific asset you are trading. It is tailored to the now.
The Inputs Menu - Your Command Center
Every setting is a lever of control, allowing you to tune the engine to your precise trading style and market focus.
🧠 Neural Core Engine
Analysis Depth: This is the primary lookback for the Bollinger Band and other core calculations. A shorter depth makes the indicator faster and more sensitive, ideal for scalping. A longer depth makes it slower and more stable, ideal for swing trading.
Minimum Probability %: This is your master signal filter. It sets the minimum Confluence Score required to plot a signal. Higher values (85-95) will give you only the highest-conviction A+ setups. Lower values (70-80) will show more potential opportunities.
🤖 Adaptive Neural Learning
Enable Adaptive Learning Engine: Toggles the entire learning system. Disabling it will make the indicator's logic static.
Peak/Valley Success Threshold (ATR): This defines what constitutes a "successful" trade for the learning engine. A value of 1.5 means price must move 1.5x the ATR in your favor for the signal to be marked as a win. Adjust this to match your personal take-profit strategy.
Adaptive Mode: This dictates how the engine uses its hitRate. "Quality Control" is recommended for its intelligent filtering. "Aggressive" will always boost signal scores, useful for finding more setups in a known, trending environment.
Asymmetric Balance: Allows you to apply a "boost" to either peak (short) or valley (long) signals. If you find the market you're trading has stronger long reversals, you can increase the "Valley Signal Boost" to catch them more effectively.
🛡️ Elite Filters
Market Noise Filter: An exceptional tool for avoiding choppy markets. It counts the number of directional changes in the last 5 bars. If the market is whipping back and forth too much, it will block the signal. Lower the "Max Direction Changes" to be extremely selective.
Volume Filter: Requires signal confirmation from a significant volume spike. The "Volume Multiplier" dictates how large this spike must be (e.g., 1.2 = 20% above average volume). This is invaluable for filtering out low-conviction moves in stocks and crypto.
The Dashboard - Your Analytical Co-Pilot
The dashboard is not just a set of numbers; it is a holistic overview of the market's health and the engine's current state.
Unified AI Score: This section provides the most critical, at-a-glance information. "Total Score" is the current probability reading, while "Quality" gives you a human-readable interpretation. "Win Rate" shows the real-time performance of the Adaptive Engine.
Order Flow (OFPI): This measures the "weight" of money behind recent price moves by analyzing price change relative to volume. A high positive OFPI suggests strong buying pressure, while a high negative value suggests strong selling pressure. It gives you a peek into the market's underlying flow.
Component Analysis: This allows you to see the individual "Peak" and "Valley" confidence scores before they are filtered, giving you insight into building momentum before a signal forms.
Market Structure: This panel assesses the broader environment. "HTF Trend" tells you the direction of the larger trend (based on EMAs), while "Vol Regime" tells you if the market is in a high, medium, or low volatility state. Use this to align your signals with the broader market context.
Filter & Engine Statistics: Available on the "Large" dashboard, this provides deep insight into how many signals are being blocked by your filters and the current status of the Adaptive Engine's multiplier.
The Visual Interface - A Symphony of Data
Every visual element on the chart is designed for instant interpretation and insight.
Signal Markers: Simple, clean triangles mark the exact bar of a valid signal. A box is drawn around the high/low of the signal bar to highlight the precise point of inflection.
Dynamic Support/Resistance Zones: These are the glowing lines on your chart. They are not static lines; they are dynamic levels that represent the current battlefield between buyers and sellers.
Cyber Cyan (Valley Blue): This is the current Support Zone. This is the price level the market is currently trying to defend.
Neural Pink (Peak Red): This is the current Resistance Zone. This is the price level the market is currently trying to break through.
Grey (Next Level): This line is a projection, based on the current momentum and the size of the S/R range, of where the next major level of conflict will likely be. It acts as a potential price target.
Development & Philosophy
Inflection Point was not assembled; it was engineered. It represents hundreds of hours of research into market dynamics, statistical analysis, and machine learning principles. The goal was to create a tool that moves beyond the limitations of traditional technical analysis, which often fails in modern, algorithm-driven markets. By building a system based on multi-factor confluence and self-adaptive logic, Inflection Point provides a quantifiable, statistical edge that is simply unattainable with simpler tools. This is the result of a relentless pursuit of a better, more intelligent way to trade.
Universal Applicability
The principles of momentum, exhaustion, and velocity are universal to all freely traded markets. Because of its adaptive core and robust filtering options, Inflection Point has proven to be exceptionally effective on any security (stocks, crypto, forex, indices, futures) and on any timeframe (from 1-minute scalping charts to daily swing trading charts).
" Markets are constantly in a state of uncertainty and flux and money is made by discounting the obvious and betting on the unexpected. "
— George Soros
Trade with insight. Trade with anticipation.
— Dskyz, for DAFE Trading Systems
Divergence Strategy [Trendoscope®]🎲 Overview
The Divergence Strategy is a sophisticated TradingView strategy that enhances the Divergence Screener by adding automated trade signal generation, risk management, and trade visualization. It leverages the screener’s robust divergence detection to identify bullish, bearish, regular, and hidden divergences, then executes trades with precise entry, stop-loss, and take-profit levels. Designed for traders seeking automated trading solutions, this strategy offers customizable trade parameters and visual feedback to optimize performance across various markets and timeframes.
For core divergence detection features, including oscillator options, trend detection methods, zigzag pivot analysis, and visualization, refer to the Divergence Screener documentation. This description focuses on the strategy-specific enhancements for automated trading and risk management.
🎲 Strategy Features
🎯Automated Trade Signal Generation
Trade Direction Control : Restrict trades to long-only or short-only to align with market bias or strategy goals, preventing conflicting orders.
Divergence Type Selection : Choose to trade regular divergences (bullish/bearish), hidden divergences, or both, targeting reversals or trend continuations.
Entry Type Options :
Cautious : Enters conservatively at pivot points and exits quickly to minimize risk exposure.
Confident : Enters aggressively at the latest price and holds longer to capture larger moves.
Mixed : Combines conservative entries with delayed exits for a balanced approach.
Market vs. Stop Orders: Opt for market orders for instant execution or stop orders for precise price entry.
🎯 Enhanced Risk Management
Risk/Reward Ratio : Define a risk-reward ratio (default: 2.0) to set profit targets relative to stop-loss levels, ensuring consistent trade sizing.
Bracket Orders : Trades include entry, stop-loss, and take-profit levels calculated from divergence pivot points, tailored to the entry type and risk-reward settings.
Stop-Loss Placement : Stops are strategically set (e.g., at recent pivot or last price point) based on entry type, balancing risk and trade validity.
Order Cancellation : Optionally cancel pending orders when a divergence is broken (e.g., price moves past the pivot in the wrong direction), reducing invalid trades. This feature is toggleable for flexibility.
🎯 Trade Visualization
Target and Stop Boxes : Displays take-profit (lime) and stop-loss (orange) levels as boxes on the price chart, extending 10 bars forward for clear visibility.
Dynamic Trade Updates : Trade visualizations are added, updated, or removed as trades are executed, canceled, or invalidated, ensuring accurate feedback.
Overlay Integration : Trade levels overlay the price chart, complementing the screener’s oscillator-based divergence lines and labels.
🎯 Strategy Default Configuration
Capital and Sizing : Set initial capital (default: $1,000,000) and position size (default: 20% of equity) for realistic backtesting.
Pyramiding : Allows up to 4 concurrent trades, enabling multiple divergence-based entries in trending markets.
Commission and Margin : Accounts for commission (default: 0.01%) and margin (100% for long/short) to reflect trading costs.
Performance Optimization : Processes up to 5,000 bars dynamically, balancing historical analysis and real-time execution.
🎲 Inputs and Configuration
🎯Trade Settings
Direction : Select Long or Short (default: Long).
Divergence : Trade Regular, Hidden, or Both divergence types (default: Both).
Entry/Exit Type : Choose Cautious, Confident, or Mixed (default: Cautious).
Risk/Reward : Set the risk-reward ratio for profit targets (default: 2.0).
Use Market Order : Enable market orders for immediate entry (default: false, uses limit orders).
Cancel On Break : Cancel pending orders when divergence is broken (default: true).
🎯Inherited Settings
The strategy inherits all inputs from the Divergence Screener, including:
Oscillator Settings : Oscillator type (e.g., RSI, CCI), length, and external oscillator option.
Trend Settings : Trend detection method (Zigzag, MA Difference, External), MA type, and length.
Zigzag Settings : Zigzag length (fixed repaint = true).
🎲 Entry/Exit Types for Divergence Scenarios
The Divergence Strategy offers three Entry/Exit Type options—Cautious, Confident, and Mixed—which determine how trades are entered and exited based on divergence pivot points. This section explains how these settings apply to different divergence scenarios, with placeholders for screenshots to illustrate each case.
The divergence pattern forms after 3 pivots. The stop and entry levels are formed on one of these levels based on Entry/Exit types.
🎯Bullish Divergence (Reversal)
A bullish divergence occurs when price forms a lower low, but the oscillator forms a higher low, signaling a potential upward reversal.
💎 Cautious:
Entry : At the pivot high point for a conservative entry.
Exit : Stop-loss at the last pivot point (previous low that is higher than the current pivot low); take-profit at risk-reward ratio. Canceled if price breaks below the pivot (if Cancel On Break is enabled).
Behavior : Enters after confirmation and exits quickly to limit downside risk.
💎Confident:
Entry : At the last pivot low, (previous low which is higher than the current pivot low) for an aggressive entry.
Exit : Stop-loss at recent pivot low, which is the lowest point; take-profit at risk-reward ratio. Canceled if price breaks below the pivot. (lazy exit)
Behavior : Enters early to capture trend continuation, holding longer for gains.
💎Mixed:
Entry : At the pivot high point (conservative).
Exit : Stop-loss at the recent pivot point that has resulted in lower low (lazy exit). Canceled if price breaks below the pivot.
Behavior : Balances entry caution with extended holding for trend continuation.
🎯Bearish Divergence (Reversal)
A bearish divergence occurs when price forms a higher high, but the oscillator forms a lower high, indicating a potential downward reversal.
💎Cautious:
Entry : At the pivot low point (lower high) for a conservative short entry.
Exit : Stop-loss at the previous pivot high point (previous high); take-profit at risk-reward ratio. Canceled if price breaks above the pivot (if Cancel On Break is enabled).
Behavior : Enters conservatively and exits quickly to minimize risk.
💎Confident:
Entry : At the last price point (previous high) for an aggressive short entry.
Exit : Stop-loss at the pivot point; take-profit at risk-reward ratio. Canceled if price breaks above the pivot.
Behavior : Enters early to maximize trend continuation, holding longer.
💎Mixed:
Entry : At the previous piot high point (conservative).
Exit : Stop-loss at the last price point (delayed exit). Canceled if price breaks above the pivot.
Behavior : Combines conservative entry with extended holding for downtrend gains.
🎯Bullish Hidden Divergence (Continuation)
A bullish hidden divergence occurs when price forms a higher low, but the oscillator forms a lower low, suggesting uptrend continuation. In case of Hidden bullish divergence, b]Entry is always on the previous pivot high (unless it is a market order)
💎Cautious:
Exit : Stop-loss at the recent pivot low point (higher than previous pivot low); take-profit at risk-reward ratio. Canceled if price breaks below the pivot (if Cancel On Break is enabled).
Behavior : Enters after confirmation and exits quickly to limit downside risk.
💎Confident:
Exit : Stop-loss at previous pivot low, which is the lowest point; take-profit at risk-reward ratio. Canceled if price breaks below the pivot. (lazy exit)
Behavior : Enters early to capture trend continuation, holding longer for gains.
🎯Bearish Hidden Divergence (Continuation)
A bearish hidden divergence occurs when price forms a lower high, but the oscillator forms a higher high, suggesting downtrend continuation. In case of Hidden Bearish divergence, b]Entry is always on the previous pivot low (unless it is a market order)
💎Cautious:
Exit : Stop-loss at the latest pivot high point (which is a lower high); take-profit at risk-reward ratio. Canceled if price breaks above the pivot (if Cancel On Break is enabled).
Behavior : Enters conservatively and exits quickly to minimize risk.
💎Confident/Mixed:
Exit : Stop-loss at the previous pivot high point; take-profit at risk-reward ratio. Canceled if price breaks above the pivot.
Behavior : Uses the late exit point to hold longer.
🎲 Usage Instructions
🎯Add to Chart:
Add the Divergence Strategy to your TradingView chart.
The oscillator and divergence signals appear in a separate pane, with trade levels (target/stop boxes) overlaid on the price chart.
🎯Configure Settings:
Adjust trade settings (direction, divergence type, entry type, risk-reward, market orders, cancel on break).
Modify inherited Divergence Screener settings (oscillator, trend method, zigzag length) as needed.
Enable/disable alerts for divergence notifications.
🎯Interpret Signals:
Long Trades: Triggered on bullish or bullish hidden divergences (if allowed), shown with green/lime lines and labels.
Short Trades: Triggered on bearish or bearish hidden divergences (if allowed), shown with red/orange lines and labels.
Monitor lime (target) and orange (stop) boxes for trade levels.
Review strategy performance metrics (e.g., profit/loss, win rate) in the strategy tester.
🎯Backtest and Optimize:
Use TradingView’s strategy tester to evaluate performance on historical data.
Fine-tune risk-reward, entry type, position sizing, and cancellation settings to suit your market and timeframe.
For questions, suggestions, or support, contact Trendoscope via TradingView or official support channels. Stay tuned for updates and enhancements to the Divergence Strategy!
Ehlers Two-Pole StochasticThis indicator implements John Ehlers' Two-Pole Stochastic Filter, a smoother alternative to the traditional stochastic oscillator. Instead of relying on raw %K values, it applies a second-order IIR filter (recursive smoothing) to reduce noise and improve trend clarity.
It outputs a single line oscillating between 0 and 1, with less lag and false signals compared to standard stochastic implementations.
Key Features:
Uses a two-pole filter to smooth the normalized stochastic (%K).
Ideal for detecting clean reversals and trend continuations.
Designed for minimal visual noise and greater signal confidence.
Interpretation:
Values near 1.0 may suggest overbought conditions.
Values near 0.0 may suggest oversold conditions.
Crosses above 0.5 can signal bullish shifts, and below 0.5 bearish shifts.
Recommended Settings:
Default smoothing factor (alpha) is 0.7 — higher values make the output more responsive, while lower values smooth further.
Inspired by concepts from Cybernetic Analysis for Stocks and Futures by John F. Ehlers.
Crowding model ║ BullVision🔬 Overview
The Crypto Crowding Model Pro is a sophisticated analytical tool designed to visualize and quantify market conditions across multiple cryptocurrencies. By leveraging Relative Strength Index (RSI) and Z-score calculations, this indicator provides traders with an intuitive and detailed snapshot of current crypto market dynamics, highlighting areas of extreme momentum, crowded trades, and potential reversal points.
⚙️ Key Concepts
📊 RSI and Z-Score Analysis
RSI (Relative Strength Index) evaluates the momentum and strength of each cryptocurrency, identifying overbought or oversold conditions.
Z-Score Normalization measures each asset's current price deviation relative to its historical average, identifying statistically significant extremes.
🎯 Crowding Analytics
An integrated analytics panel provides real-time crowding metrics, quantifying market sentiment into four distinct categories:
🔥 FOMO (Fear of Missing Out): High momentum, potential exhaustion.
❄️ Fear: Low momentum, potential reversal or consolidation.
📈 Recovery: Moderate upward momentum after a downward trend.
💪 Strength: Stable bullish conditions with sustained momentum.
🖥️ Visual Scatter Plot
Assets are plotted on a dynamic scatter plot, positioning each cryptocurrency according to its RSI and Z-score.
Color coding, symbol shapes, and sizes help quickly identify main market segments (BTC, ETH, TOTAL, OTHERS) and individual asset conditions.
🧩 Quadrant Classification
Assets are categorized into four quadrants based on their momentum and deviation:
Overbought Extended: High RSI and positive Z-score.
Recovery Phase: Low RSI but positive Z-score.
Oversold Compressed: Low RSI and negative Z-score.
Strong Consolidation: High RSI but negative Z-score.
🔧 User Customization
🎨 Visual Settings
Bar Scale: Adjust the scatter plot visual scale.
Asset Visibility: Optionally display key market benchmarks (TOTAL, BTC, ETH, OTHERS).
Gradient Background: Enhances visual interpretation of asset clusters.
Crowding Analytics Panel: Toggle the analytics panel on/off.
📊 Indicator Parameters
RSI Length: Defines the calculation period for RSI.
Z-score Lookback: Historical lookback period for normalization.
Crowding Alert Threshold: Sets alert sensitivity for crowded market conditions.
🎯 Zone Settings
Quadrant Labels: Displays descriptive labels for each quadrant.
Danger Zones: Highlights extreme RSI levels indicative of heightened market risk.
📈 Visual Output
Dynamic Scatter Plot: Visualizes asset positioning clearly and intuitively.
Gradient and Grid: Professional gridlines and subtle gradient backgrounds assist visual assessment.
Danger Zone Highlights: Visually indicates RSI extremes to warn of potential market turning points.
Crowding Analytics Panel: Real-time summary of market sentiment and asset distribution.
🔍 Use Cases
This indicator is particularly beneficial for traders and analysts looking to:
Identify crowded trades and potential reversal points.
Quickly assess overall market sentiment and individual asset strength.
Integrate a robust momentum analysis into broader technical or fundamental strategies.
Enhance market timing and improve risk management decisions.
⚠️ Important Notes
This indicator does not provide explicit buy or sell signals.
It is intended solely for informational, analytical, and educational purposes.
Past performance and signals are not indicative of future market results.
Always combine with additional tools and analysis as part of comprehensive decision-making.
Quantum Harmonic Oscillator Overlay🧪 Quantum Harmonic Oscillator Overlay
A visual model of price behavior using quantum harmonic oscillation principles
📜 Indicator Overview
The Quantum Harmonic Oscillator Overlay applies concepts from both classical physics (harmonic motion) and quantum mechanics (energy states) to model and visualize how price orbits around a central trend line. It overlays a Linear Regression line (representing the “mean position” or ground state of price) and calculates surrounding energy levels (σ-zones) akin to quantum shells that price can "jump" between.
This indicator is particularly useful for visualizing mean reversion, volatility compression/expansion, and momentum-driven price breakthroughs.
🧠 Core Concepts
Linear Regression Line (LSR): This is the calculated center of gravity or equilibrium path of price over a user-defined period. Think of it like the lowest energy state or central axis around which price vibrates.
Standard Deviation Zones (σ-levels):
1σ: The majority of normal price activity; within this range, price tends to fluctuate if in balance.
2σ: Indicates volatility or possible breakout pressure.
3σ: Represents extreme movement — a phase shift in energy, potentially leading to reversal or continuation with higher momentum.
Quantum Analogy: Just like in a quantum harmonic oscillator, particles (here, prices) move probabilistically between discrete energy states. The further the price moves from the center, the more "energy" (momentum, volume, volatility) is implied.
⚙️ Input Parameters
Setting Description
Linear Regression Length The number of bars used to calculate the regression trend (default 100). Affects the central path and responsiveness.
σ Multipliers (1σ, 2σ, 3σ) Determine how far each band is from the regression line. Adjusting these can highlight different price behaviors.
Show Energy Level Zones Toggle visibility of the colored bands around the regression line.
Show LSR Center Line Toggles visibility of the white Linear Regression line itself.
🎨 Visual Components
Color Zone Interpretation
✅ Green ±1σ Normal oscillation / mean reversion area. Ideal for range-bound strategies.
🟧 Orange ±2σ Warning zone; price may be gaining momentum or volatility.
🔴 Red ±3σ High-momentum state or anomaly. These regions may imply trend exhaustion, reversals, or breakouts.
White Line: The LSR — the average trajectory of the price movement.
Pink Dots: Appear when price exceeds Zone 3 (outside ±3σ) — a signal of extreme behavior or a possible regime shift.
📈 How to Use This Indicator
1. Detect Overextensions
When price touches or breaches the 3σ zone, it is likely overextended. This can be used to anticipate potential snapbacks or strong breakout trends.
2. Identify Mean Reversion Trades
If price exits the 2σ or 3σ zones and returns toward the center line, this signals a likely mean reversion setup.
3. Volatility Compression or Expansion
Flat zones between σ levels suggest calm markets; widening bands suggest expanding volatility.
4. Use with Confirmation Tools
Combine with momentum oscillators (MACD, RSI) or volume-based signals to confirm reversals or continuation outside Zone 3.
🔮 Philosophical Note
This indicator embodies the metaphor that the market behaves like a quantum oscillator — price particles exist in a probabilistic field and jump between discrete zones of volatility and energy. Tracking these transitions allows the trader to see price behavior as rhythmic, wave-like, and multidimensional rather than purely linear.
Trend Strength Oscillator📌 Trend Strength Oscillator
📄 Description
Trend Strength Oscillator measures the directional strength of price relative to an adaptive dynamic trend band. It evaluates how far the current price is from the midpoint of a trend channel and normalizes this value by recent volatility range, allowing traders to detect trend strength, direction, and potential exhaustion in any market condition.
📌 Features
🔹 Adaptive Trend Band Logic: Uses a modified ATR and time-dependent spread formula to dynamically adjust upper and lower trend bands.
🔹 Trendline Midpoint Calculation: The central trendline is defined as the average between upper and lower bands.
🔹 Relative Positioning: Measures how far the close is from the center of the band as a percentage.
🔹 Range Normalization: Uses a normalized range to account for recent volatility, reducing noise in the oscillator reading.
🔹 Oscillator Output (±100 scale):
+100 indicates strong bullish momentum
-100 indicates strong bearish momentum
0 is the neutral centerline
🛠️ How to Use
✅ Trend Strength > +50: Indicates a strong bullish phase.
✅ Trend Strength < -50: Indicates a strong bearish phase.
⚠️ Crossing above 0: Potential bullish trend initiation.
⚠️ Crossing below 0: Potential bearish trend initiation.
📉 Values near 0: Suggest trend weakness or ranging conditions.
Best suited timeframes: 1H, 4H, Daily
Ideal combination with: RSI, MACD, volume-based oscillators, moving average crosses
✅ TradingView House Rules Compliance
This indicator is written in Pine Script v5 and fully open-source.
The script does not repaint, does not generate false alerts, and does not access external or private data.
It is intended strictly as a technical analysis tool, and not a buy/sell signal generator.
Users are encouraged to combine this tool with other confirmations and independent judgment in trading decisions.
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📌 Trend Strength Oscillator
📄 설명 (Description)
Trend Strength Oscillator는 가격이 동적 추세 밴드 내 어디에 위치해 있는지를 정량적으로 분석하여, 추세의 방향성과 강도를 시각적으로 보여주는 오실레이터 지표입니다. 최근 변동성을 반영한 밴드를 기반으로 가격 위치를 정규화하여, 과매수·과매도 상태나 추세의 소멸 가능성까지 탐지할 수 있도록 설계되었습니다.
📌 주요 특징 (Features)
🔹 적응형 추세 밴드 계산: ATR과 시간 경과를 기반으로 상단/하단 밴드를 동적으로 조정
🔹 중심 추세선 산출: 상단과 하단 밴드의 평균값을 중심선으로 활용하여 기준 축 제공
🔹 상대 위치 계산: 현재 종가가 중심선에서 얼마나 떨어져 있는지를 정규화하여 추세 강도 계산
🔹 변동성 기반 정규화: 최근 밴드 범위를 기준으로 상대 거리를 0~100 사이 값으로 변환
🔹 오실레이터 출력 (범위: ±100):
+100에 가까울수록 강한 상승 추세
-100에 가까울수록 강한 하락 추세
0에 가까울수록 횡보 구간 가능성
🛠️ 사용법 (How to Use)
✅ +50 이상: 강한 상승 추세 지속 중
✅ -50 이하: 강한 하락 추세 지속 중
⚠️ 0선 돌파 상향: 상승 추세 시작 가능성
⚠️ 0선 돌파 하향: 하락 추세 시작 가능성
🟡 0 근처 유지: 추세 약화 또는 횡보장 가능성
추천 시간대: 1시간봉, 4시간봉, 일봉
보조 지표로 추천: RSI, MACD, OBV, 이동평균 크로스 등과 함께 활용 시 효과적
✅ 트레이딩뷰 하우스룰 준수사항 (TradingView House Rules Compliance)
본 지표는 Pine Script v5로 작성된 오픈소스 공개용 스크립트입니다.
리페인트(Repaint) 현상이 없으며, **허위 경고(Spam Alerts)**나 성능 저하 요소도 없습니다.
외부 데이터 접근 없이 완전히 자체 계산으로 동작합니다.
이 지표는 투자 판단을 돕기 위한 분석용 도구이며, 직접적인 매수·매도 신호로 사용해서는 안 됩니다.
모든 트레이딩은 사용자의 독립적인 판단과 책임 하에 이루어져야 합니다.
[Top] VWAP + RSI Divergence IndicatorThe “VWAP RSI Divergence Indicator” combines the Volume Weighted Average Price (VWAP), Relative Strength Index (RSI), divergence detection, and volume confirmation to identify high-probability trading opportunities.
How It Works:
The indicator integrates three powerful methodologies:
1. Volume Weighted Average Price (VWAP):
VWAP calculates an average price weighted by volume, providing critical insights into the fair value of an asset within the trading session.
Includes standard deviation bands (+1/-1 and +2/-2) around the VWAP, offering key levels of support, resistance, and price extremities.
2. Relative Strength Index (RSI):
A momentum oscillator that measures the speed and change of recent price movements.
RSI levels define overbought and oversold conditions, offering traders insight into potential reversal zones.
3. Divergence Detection:
Identifies divergences between price action and RSI, signaling potential reversals or continuations.
Detects both Regular Divergences (signifying potential reversals) and Hidden Divergences (indicating possible continuation of current trends).
Core Features:
Real-Time Divergence Detection: Automatically detects and clearly labels Regular and Hidden Divergences with included tooltips to help you identify trading opportunities.
VWAP and Standard Deviation Bands: Visualizes important dynamic support/resistance levels on the chart.
RSI-Based Heat Map: Offers intuitive heat map coloring between standard deviation bands, colored dynamically according to RSI levels and divergence activity.
Optional Volume-Based Candle Coloring: Enhances visual insight by coloring candles according to volume relative to a moving average.
Customizable Alerts: Provides alerts for divergences and standard deviation band breaches, enabling traders to act swiftly.
What Makes It Unique:
Integrated Divergence and VWAP Analysis: Unlike typical divergence indicators, this tool uniquely combines RSI divergence signals with VWAP analysis, enhancing signal reliability by considering both price momentum and volume-weighted price dynamics.
Dynamic RSI Heat Map and Volume Coloring: Incorporates advanced visual customization through dynamic coloring based on RSI levels and divergences, as well as volume-based bar coloring, designed to allow you to understand detailed information at a glance.
How to Use:
Identify Divergences: Watch for divergence labels indicating potential reversals (Regular Divergence) or continuations (Hidden Divergence).
Monitor VWAP Bands: Use VWAP bands as dynamic support/resistance levels, particularly observing price reactions at +1/-1 and +2/-2 standard deviation extremes.
Volume Confirmation: Combine divergence signals with volume-colored bars to confirm strength or weakness behind potential moves.
Leverage Alerts: Enable customizable alerts to stay promptly informed about key divergences and price extremes, ensuring timely decision-making.
Mongoose Capital: BTC ETF DriftScope ProMongoose Capital: BTC ETF DriftScope Pro
A proprietary indicator for monitoring drift between Bitcoin Spot (BTCUSD) and Bitcoin Spot ETFs (such as IBIT). Designed to detect ETF premium/discount zones and generate actionable Fade or Long bias signals.
What it Does
Tracks IBIT and BTCUSD spread to highlight ETF price deviations.
Calculates correlation Z-Score for ETF/Spot alignment.
Outputs numeric bias signals: Fade (1), Long (1), Neutral (1).
How to Use
Apply to a BTCUSD chart (4H, 1D, or higher recommended).
Open the Data Window to view:
IBIT Spread %
Correlation Z-Score
Correlation %
Bias Flags (Fade, Long, Neutral)
Configure alerts for Fade and Long Bias conditions.
Confirm all signals with your trade plan and risk management.
Methodology
This tool calculates the percentage spread between IBIT and BTC Spot. A rolling Z-Score of the correlation is used to detect periods of significant divergence.
Fade Bias suggests potential short setups in premium zones with high Z-Scores.
Long Bias suggests potential long setups in discount zones with low Z-Scores.
Disclaimer
This indicator is for educational purposes only. It is not financial advice. Use at your own risk and verify signals independently.