BBMA Signal ProBBMA Signal Pro
BBMA Signal Pro is a professional BBMA (Bollinger Band + Moving Average) cycle indicator designed to identify structure, momentum, and continuation — not random signals.
This script strictly enforces the BBMA trading cycle and only allows continuation and re-entry signals when the market context is valid.
Core Components
Bollinger Bands (20 SMA, configurable)
WMA 5 & WMA 10 (High / Low)
EMA 50 for trend confirmation
BBMA Cycle Logic (Strict Flow)
All continuation setups require the full BBMA sequence to complete:
EXT (Extreme)
TPW (TP Wajib)
MHV (Market Hilang Volume)
Only after this sequence is completed will continuation setups be allowed.
This prevents early, unstructured, and low-quality signals.
Signals Included
EXT – MA pushes outside Bollinger Band
TPW – price reacts to opposite MA5 after EXT
MHV – price fails to break Bollinger Band
CSAK – continuation candle inside BB zone
CSM – strong momentum candle closing fully outside BB
Re-Entry – controlled pullback after CSAK or CSM
Each CSAK / CSM setup:
Appears only once
Waits for re-entry or invalidation
Is canceled immediately by an opposite CSAK or CSM
Re-Entry Conditions
Pullback to MA5 High (Sell) or MA5 Low (Buy)
Default Trend Confirmation (IMPORTANT)
By default, Re-Entry uses the CURRENT timeframe trend as confirmation:
Sell Re-Entry → Mid BB below EMA50
Buy Re-Entry → Mid BB above EMA50
This prevents:
Counter-trend re-entries
Late or forced continuation trades
Chasing exhausted moves
Optional entry confirmation:
-Touch MA5 only
-Touch MA5 + close inside MA5 band
Valid within 10 candles after the setup
Must match the last active setup (CSAK or CSM)
Dynamic Multi-Timeframe Trend Confirmation
Trend confirmation adapts automatically to the chart timeframe:
Chart TF | Trend Confirmation
5m | M15 + H1
15m | H1 + H4
1H | H4
4H | Daily
Daily | Current TF
Used for:
Filtering CSAK / CSM setups
Optional Re-Entry confirmation
Visual trend tables
Alerts
Trend Filter Modes
You control how strict the trend filtering is:
-No Filter
-Higher TF Only
-Current TF Only
-Higher TF + Current TF
A Skip Current TF Check option is available for advanced users who want earlier signals before full confirmation.
Invalidation Rules
Any opposite CSAK or CSM immediately cancels all pending setups and re-entries
Prevents holding bias when market structure flips
Visual & UX Features
Clean BB + MA layout (matches BBMA Signal Pro reference)
No duplicate labels
Clear setup → continuation → re-entry flow
Dynamic trend tables
-Higher timeframe trend table
-Current timeframe trend (Mid BB vs EMA50)
Alerts (Production-Ready)
Matches visual logic exactly
Supports webhook automation
Re-Entry alerts respect:
-Trend confirmation
-Re-Entry mode timing (touch vs close)
JSON payload includes:
Price
SL / TP reference
Trend context
Chart link
Who This Script Is For
✔ BBMA traders who follow structure
✔ Traders who respect trend alignment
✔ Traders who want re-entries done properly
✖ Not for scalping noise
✖ Not for counter-trend gambling
Final Note
This is not a signal spam indicator.
It is a decision-filtering system .
If you understand BBMA, this script enforces discipline.
If you don’t, it will expose impatience very quickly.
Trade the cycle. Follow the trend. Re-enter with confirmation.
Pesquisar nos scripts por "bollingerband"
ADX Volatility Waves [BOSWaves]ADX Volatility Waves - Trend-Weighted Volatility Mapping with State-Based Wave Transitions
Overview
ADX Volatility Waves is a regime-aware volatility framework designed to map statistically significant price extremes through adaptive wave structures driven by trend strength.
Rather than treating volatility as a static dispersion metric, this indicator conditions all volatility expansion, contraction, and zone placement on ADX-derived trend intensity. Price behavior is interpreted through wave-like transitions between balance, expansion, and exhaustion states rather than isolated band interactions.
The result is a dynamic, gradient-based wave system that visually encodes volatility cycles and regime shifts in real time, allowing traders to contextualize price movement within trend-weighted volatility waves.
Price is evaluated not by static thresholds, but by its position and progression within adaptive volatility waves shaped by directional strength.
Conceptual Framework
ADX Volatility Waves is built on the premise that volatility unfolds in waves, not straight lines.
Traditional volatility tools identify dispersion but fail to account for how volatility behaves differently across trend regimes. By embedding ADX directly into volatility construction, this indicator ensures that volatility waves expand during strong directional phases and compress during weak or transitioning regimes.
Three guiding principles define the framework:
Volatility must be conditioned on trend strength
Extremes occur within zones, not at lines
Signals should emerge from completed wave transitions, not instantaneous touches
This reframes analysis from reactive mean-reversion toward regime-aware wave interpretation.
Theoretical Foundation
The indicator fuses directional movement theory with statistical volatility modeling.
Bollinger-derived dispersion provides the structural base, while ADX normalization controls the amplitude of volatility waves. As ADX increases, volatility waves widen and deepen; as ADX weakens, waves compress and tighten around equilibrium.
From this foundation, extended upper and lower wave zones are constructed and smoothed to represent statistically significant expansion and contraction phases.
At its core are three interacting systems:
ADX-Controlled Volatility Engine : Standard deviation is dynamically scaled using normalized ADX values, producing trend-weighted volatility waves.
Wave Zone Construction : Smoothed volatility boundaries are offset and expanded to form upper and lower wave zones, defining overextension and compression regions.
State-Based Wave Transition Logic : Signals occur only after price completes a full wave cycle: expansion into an extreme wave zone followed by a confirmed return to equilibrium.
This structure ensures that signals reflect completed volatility waves, not transient noise.
How It Works
ADX Volatility Waves processes price action through layered wave mechanics:
Trend-Weighted Volatility Calculation : Volatility boundaries are dynamically adjusted using ADX influence, allowing wave amplitude to scale with trend strength.
Structural Smoothing : Volatility boundaries are smoothed to stabilize wave geometry and reduce short-term distortions.
Wave Offset & Expansion : Upper and lower wave zones are positioned beyond equilibrium and expanded proportionally to volatility range, forming clearly defined expansion waves.
Gradient Wave Depth Mapping : Each wave zone is subdivided into multiple gradient layers, visually encoding increasing extremity as price moves deeper into a wave.
Wave State Tracking & Cooldown Control : The system tracks prior wave occupancy, enforces neutral stabilization periods, and applies cooldowns to prevent overlapping wave signals.
Compression Detection : Volatility width monitoring identifies compression phases, highlighting conditions where new volatility waves are likely to form.
Together, these processes create a continuous, adaptive wave map of volatility behavior.
Interpretation
ADX Volatility Waves reframes market reading around volatility cycles:
Upper Volatility Waves (Red Gradient) : Represent upside expansion phases. Deeper wave penetration indicates increased overextension relative to trend-adjusted volatility.
Lower Volatility Waves (Green Gradient) : Represent downside expansion phases. Sustained presence signals pressure, while exits toward balance suggest wave completion.
Equilibrium Zone : The neutral region between volatility waves. Confirmed re-entry into this zone marks the completion of a wave cycle and forms the basis for BUY and SELL signals.
Regime Context via ADX : Strong ADX regimes widen waves, reducing premature reversal signals. Weak ADX regimes compress waves, increasing sensitivity to reversion.
Wave progression and completion matter more than single-bar interactions.
Signal Logic & Visual Cues
ADX Volatility Waves produces single-entry BUY and SELL labels as its visual cues, plotted only when price first enters a volatility wave zone after the defined cooldown period.
Buy Signal (Bottom Zone Entry) : A BUY label appears when price enters the lower volatility wave (oversold zone). This highlights potential expansion into undervalued extremes, providing visual context for trend assessment rather than a guaranteed execution trigger.
Sell Signal (Top Zone Entry) : A SELL label appears when price enters the upper volatility wave (overbought zone). This marks potential overextension into upper volatility extremes, serving as a contextual indicator of trend stress.
All labels respect cooldown tracking to prevent clustering. Alerts are tied directly to these zone-entry signals, and a separate alert monitors volatility squeezes for awareness of compression periods.
Strategy Integration
ADX Volatility Waves integrates cleanly into volatility-aware trading frameworks:
Wave Context Mapping : Use wave depth to assess expansion and exhaustion risk rather than forcing immediate entries.
Transition-Based Execution : Prioritize BUY and SELL signals formed after confirmed wave completion.
Trend-Regime Filtering : In strong ADX regimes, treat waves as continuation pressure. In weak regimes, favor completed wave reversions.
Volatility Cycle Awareness : Monitor compression phases to anticipate the emergence of new volatility waves.
Multi-Timeframe Alignment : Apply higher-timeframe ADX regimes to contextualize lower-timeframe wave behavior.
Technical Implementation Details
Core Engine : ADX-normalized volatility expansion
Wave System : Smoothed, offset, expanded volatility waves
Visualization : Multi-layer gradient wave zones
Signal Logic : State-based wave transitions with cooldown enforcement
Alerts : Wave entry, wave completion, volatility compression
Performance Profile : Lightweight, real-time optimized overlay
Optimal Application Parameters
Timeframe Guidance:
1 - 5 min : Short-term volatility waves and intraday transitions
15 - 60 min : Structured intraday wave cycles
4H - Daily : Macro volatility regimes and expansion phases
Suggested Baseline Configuration:
BB Length : 20
BB StdDev : 1.5
ADX Length : 14
ADX Influence : 0.8
Wave Offset : 1.0
Wave Width : 1.0
Neutral Confirmation : 5 bars
These suggested parameters should be used as a baseline; their effectiveness depends on the asset volatility, liquidity, and preferred entry frequency, so fine-tuning is expected for optimal performance.
Performance Characteristics
High Effectiveness:
Markets exhibiting rhythmic volatility expansion and contraction
Assets with responsive ADX regime behavior
Reduced Effectiveness:
Erratic, news-driven price action
Illiquid markets with distorted volatility metrics
Integration Guidelines
Confluence : Combine with BOSWaves structure or trend tools
Discipline : Respect wave completion and cooldown logic
Risk Framing : Interpret wave depth probabilistically, not predictively
Regime Awareness : Always contextualize waves within ADX strength
Disclaimer
ADX Volatility Waves is a professional-grade volatility and regime-mapping tool. It does not predict price and does not guarantee profitability. Performance depends on market conditions, parameter calibration, and disciplined execution. BOSWaves recommends using this indicator as part of a comprehensive analytical framework incorporating trend, volatility, and structural context.
Swing Trading Indicator: RSI + EMA + MACD + BB Signals**Swing Trading Indicator: Multi-Indicator Confluence Signals**
This indicator identifies high-probability swing trading setups using RSI pullbacks, EMA trend filter, MACD momentum confirmation, and Bollinger Bands for volatility-based entries. Perfect for daily/4H charts on stocks like TSLA or SPY.
**Key Features:**
- **Long Signal (Green ↑ Arrow)**: Uptrend (above 200 EMA) + RSI crosses above oversold (default 30) + MACD bullish crossover + Price at/near BB lower band + Optional squeeze filter.
- **Short Signal (Red ↓ Arrow)**: Mirror for downtrends.
- **Real-Time Dashboard**: Top-right table shows condition status (✓/✗) and "LONG/SHORT READY" alerts.
- **Customizable**: Adjust RSI levels, BB multiplier, enable/disable shorts/squeeze/arrows.
- **Alerts**: Built-in for entry notifications.
**How to Use:**
1. Add to chart (daily timeframe recommended).
2. Watch for arrows + "READY" in dashboard.
3. Manual entry: Risk 1% per trade, target 1:2 reward (e.g., trail stops).
**Backtest Note**: Based on similar setups, ~55-65% win rate in trending markets (test yourself). Not financial advice—trading involves risk. Fork and improve!
#swingtrading #RSI #MACD #BollingerBands #PineScript
Multi Timeframe Signal DashboardShows 10 indicators across 6 timeframes (5M, 15M, 30M, 1H, 4H, 1D):
EMA 50/100 crossover
RSI (with oversold/overbought highlighting)
MACD
DMI (DI+/DI-)
Stochastic (with extremes)
CCI
Bollinger Bands
VWAP
EMA 200 Trend
Momentum
Each cell shows ▲ (bullish/green) or ▼ (bearish/red), with scores per row and column, plus an overall BUY/SELL/HOLD signal.
CODEX OB + BBMA V1CODEX OB + BBMA is a multi-purpose Smart Money Concepts (SMC) indicator that automatically detects and visualizes key institutional trading elements such as Order Blocks, Fair Value Gaps, Rejection Blocks, Break of Structure, Pivots, High Volume Bars, and several qualitative SMC signals.
In addition to SMC tools, this indicator also incorporates multi-timeframe BBMA logic, allowing traders to view higher-timeframe momentum, trend direction, and volatility envelopes directly from the current chart. This makes it easier to align SMC setups—like OB, FVG, and BOS—with BBMA structure such as MA touches, re-entry zones, extreme candles, and volatility expansions.
This combination helps traders identify institutional footprints, multi-timeframe confluence, and displacement-based setups with high clarity.
Bollinger Bands Forecast [QuantAlgo]🟢 Overview
Bollinger Bands are widely recognized for mapping volatility boundaries around price action, but they inherently lag behind market movement since they calculate based on completed bars. The Bollinger Bands Forecast addresses this limitation by adding a predictive layer that attempts to project where the upper band, lower band, and basis line might position in the future. The indicator provides three unique analytical models for generating these projections: one examines swing structure and breakout patterns, another integrates volume flow and accumulation metrics, while the third applies statistical trend fitting. Traders can select whichever methodology aligns with their market view or trading style to gain visibility into potential future volatility zones that could inform position planning, risk management, and timing decisions across various asset classes and timeframes.
🟢 How It Works
The core calculation begins with traditional Bollinger Bands: a moving average basis line (configurable as SMA, EMA, SMMA/RMA, WMA, or VWMA) with upper and lower bands positioned at a specified number of standard deviations away. The forecasting extension works by first generating predicted price values for upcoming bars using the selected method. These projected prices then feed into a rolling calculation that simulates how the basis line would update bar by bar, respecting the mathematical properties of the chosen moving average type. As each new forecasted price enters the calculation window, the oldest historical price drops out, mimicking the natural progression of the moving average. The system recalculates standard deviation across this evolving price window and applies the multiplier to determine where upper and lower bands would theoretically sit. This process repeats for each of the forecasted bars, creating a connected chain of potential future band positions that render as dashed lines on the chart.
🟢 Key Features
1. Market Structure Model
This forecasting approach interprets price through the lens of swing analysis and structural patterns. The algorithm identifies pivot highs and lows across a definable lookback window, then tracks whether price is forming higher highs and higher lows (bullish structure) or lower highs and lower lows (bearish structure). The system looks for break of structure (BOS) when price pushes beyond a previous swing point in the trending direction, or change of character (CHoCH) when price starts creating opposing swing patterns.
When projecting future prices, the model considers current distance from recent swing levels and the strength of the established trend (measured by counting higher highs versus lower lows). If bullish structure dominates and price sits near a swing low, the forecast biases upward. Conversely, bearish structure near a swing high produces downward bias. ATR scaling ensures the projection magnitude relates to actual market volatility.
Practical Implications for Traders:
Useful when you trade based on swing points and structural breaks
The Structure Influence slider (0 to 1) lets you dial in how much weight structure analysis carries versus pure trend
Helps visualize where bands could form around key structural levels you're watching
Works better in trending conditions where structure patterns are clearer
Might be less effective in choppy, sideways markets without defined swings
2. Volume-Weighted Model
This method attempts to incorporate volume flow into the price forecast. It combines three volume-based metrics: On-Balance Volume (OBV) to track cumulative buying/selling pressure, the Accumulation/Distribution Line to measure money flow, and volume-weighted price changes to emphasize moves that occur on high volume. The algorithm calculates the slope of these indicators to determine if volume is confirming price direction or diverging from it.
Volume spikes above a configurable threshold are flagged as potentially significant, with the direction of the spike (whether it occurred on an up bar or down bar) influencing the forecast. When OBV, A/D Line, and volume momentum all align in the same direction, the model projects stronger moves. When they conflict or show weak volume support, the forecast becomes more conservative.
Practical Implications for Traders:
Relevant if you use volume analysis to confirm price moves
More meaningful in markets with reliable volume data
The Volume Influence parameter (0 to 1) controls how much volume factors into the projection
Volume Spike Threshold adjusts sensitivity to what constitutes unusual volume
Helps spot scenarios where volume doesn't support a move, suggesting possible consolidation
Might be less effective in low-liquidity instruments or markets where volume reporting is unreliable
3. Linear Regression Model
The simplest of the three methods, linear regression fits a straight line through recent price data using least-squares mathematics and extends that line forward. This creates a clean trend projection without conditional logic or interpretation of market characteristics. The forecast simply asks: if the recent trend continues at its current rate of change, where would price be in 10 or 20 bars?
Practical Implications for traders:
Provides a neutral, mathematical baseline for comparison
Works well when trends are steady and consistent
Can be useful for backtesting since results are deterministic
Requires minimal configuration beyond lookback period
Might not adapt to changing market conditions as dynamically as the other methods
Best suited for trending markets rather than ranging or volatile conditions
🟢 Universal Applications Across All Models
Regardless of which forecasting method you select, the indicator projects future Bollinger Band positions that may help with:
▶ Pre-planning entries and exits: See where potential support (lower band) or resistance (upper band) might develop before price gets there
▶ Volatility context: Observe whether forecasted bands are widening (suggesting potential volatility expansion) or narrowing (possible compression or squeeze setup)
▶ Target setting: Reference projected band levels when determining profit targets or stop placement
▶ Mean reversion scenarios: Visualize potential paths back toward the basis line when price extends to a band extreme
▶ Breakout anticipation: Consider where upper or lower bands might sit if price begins a strong directional move
▶ Strategy development: Build trading rules around forecasted band interactions, such as entering when price is projected to return to the basis or exit when forecasts show band expansion
▶ Method comparison: Switch between the three forecasting models to see if they agree or diverge, potentially using consensus as a confidence filter
It's critical to understand that these forecasts are projections based on recent market behavior. Markets are complex systems influenced by countless factors that cannot be captured in a technical calculation or predicted perfectly. The forecasted bands represent one possible scenario of how volatility might unfold, so actual price action may still diverge from these projections. Past performance and historical patterns provide no assurance of future results. Use these forecasts as one input within a broader trading framework that includes proper risk management, position sizing, and multiple forms of analysis. The value lies not in prediction accuracy but in helping you think probabilistically about potential market states and plan accordingly.
Fekry BB Entry/Exit with EMA FilterThis indicator is based on Bollinger Bands and exponential moving average strategy by Mr Kekry Zain
8EMA+BB-SubiProvides the facility to display 8 EMAs along with Bollinger Bands in the same indicator.
MPI Strategy (Hardcoded 2025)MPI Strategy (Hardcoded 2025)MPI Strategy (Hardcoded 2025)MPI Strategy (Hardcoded 2025)MPI Strategy (Hardcoded 2025)
Oleg_Aryukov_StrategyTrader Oleg Aryukov's strategy, based on a variety of oscillators, allows him to try to catch reversals in cryptocurrencies.
BB TrendDisclaimer: This Script works on daily chart for stocks. No SELL signal offered.
How to Use:
If BUY signal is shown on the chart, please take entry in the beginning of next candle.
please comment, if you find this useful.
Multi-Asset Option Strike PricesMulti-Asset Option Strike Prices automatically plots dynamic option strike levels for multiple assets on your chart. The indicator detects the active symbol and draws strike ladders above and below the current price using customizable strike increments (FX, indices, commodities, metals, etc.).
It also rounds price to the nearest strike, giving a precise structural reference used by institutional options desks. These strike levels help traders visualize trend direction, trend boundaries, and potential turning points based on how price interacts with known option clusters.
By mapping evenly spaced strike steps, the indicator also highlights natural stop-loss and take-profit zones within a trend, allowing traders to manage risk around predictable option-driven price levels.
Supports up to 10 assets, includes custom line styling, and provides automatic strike labeling.
BB Breakout + EMA Touch (50/100)Shows points only when BOTH happen on the same candle:
1️⃣ Price breaks through Bollinger Bands
2️⃣ Price touches (or crosses) EMA 50 or EMA 100
Bollinger Bands (MTF) + Bandwidth & %BJBB MTF: Bollinger Bands (MTF) + Bandwidth & %B
This Pine v6 indicator overlays multi‑timeframe Bollinger Bands on the price chart and adds a lower panel with normalized Bandwidth (histogram) and %B (line), plus squeeze/bulge markers and alerts for volatility shifts.
Key idea: See higher‑timeframe BB context on your working chart while tracking volatility regimes and price position within bands.
Features
- Multi‑Timeframe BBs: Up to four TFs (TF1–TF4) via request.security, each with visibility, colors, line widths, and optional background fills.
- Configurable Inputs: Length, MA type (SMA/EMA/SMMA/WMA/VWMA), Source, StdDev multiplier, and Offset.
- Lower Panel Metrics: %B (line) shows price position in the band; Bandwidth (histogram) shows width relative to basis, normalized and color‑coded vs its SMA. Reference lines at 0, 0.5, 1.0; raw highest/lowest bandwidth lines for context.
- Squeeze/Bulge Detection: Alerts when bandwidth equals the rolling lowest (Squeeze) or highest (Bulge).
How It Works
- Per timeframe, BBs use the chosen MA basis and standard deviation × multiplier to form upper/lower bands.
- A selectable TF (TF1–TF4) drives %B/Bandwidth calculations, independent of overlay TFs.
Bandwidth is normalized to the rolling min–max window with safeguards against division by zero.
Use Cases
- Visualize higher‑timeframe context directly on your chart.
- Spot volatility squeezes and expansions with objective markers and alerts.
Combine %B momentum with Bandwidth regime changes to refine entries and exits.
XAUUSD Pro Setup Suite manuel_lnt.fx is an advanced Pine Script v6 indicator designed exclusively for XAUUSD, built to automatically detect the 5 highest-probability setups in gold day trading.
It combines institutional price action, volatility patterns, mean reversion logic, and momentum confirmation to generate clean, filtered, and actionable signals.
The indicator automatically detects:
⸻
1️⃣ Break & Retest Premium (BR)
Identifies valid breaks of key levels and signals the retest with rejection wick, EMA20 trend confirmation, and neutral RSI.
→ Excellent for trend continuation.
⸻
2️⃣ Fakeout Liquidity Trap (FO)
Detects liquidity grabs above highs or below lows with an opposite close + engulfing candle confirmation.
→ The strongest setup for fast and explosive reversals on gold.
⸻
3️⃣ MACD Zero-Line Shift (MACD)
Signals when the MACD crosses the zero line while price breaks micro-structure.
→ Perfect for spotting the start of a new trend.
⸻
4️⃣ Bollinger Squeeze → Breakout (BB)
Recognizes volatility compression and signals when a breakout is likely to explode.
→ Ideal for clean breakout trades.
⸻
5️⃣ Mean Reversion on EMA50 (MR)
Highlights price extensions far away from the EMA50 with ATR confirmation and a reversal candle.
→ Great for pullbacks back toward the mean value.
Stochastic + Bollinger Bands Multi-Timeframe StrategyThis strategy fuses the Stochastic Oscillator from the 4-hour timeframe with Bollinger Bands from the 1-hour timeframe, operating on a 10-hour chart to capture a unique volatility rhythm and temporal alignment discovered through observational alpha.
By blending momentum confirmation from the higher timeframe with short-term volatility extremes, the strategy leverages what some traders refer to as “rotating volatility” — a phenomenon where multi-timeframe oscillations sync to reveal hidden trade opportunities.
🧠 Strategy Logic
✅ Long Entry Condition:
Stochastic on the 4H timeframe:
%K crosses above %D
Both %K and %D are below 20 (oversold zone)
Bollinger Bands on the 1H timeframe:
Price crosses above the lower Bollinger Band, indicating a potential reversal
→ A long trade is opened when both momentum recovery and volatility reversion align.
✅ Long Exit Condition:
Stochastic on the 4H:
%K crosses below %D
Both %K and %D are above 80 (overbought zone)
Bollinger Bands on the 1H:
Price reaches or exceeds the upper Bollinger Band, suggesting exhaustion
→ The long trade is closed when either signal suggests a potential reversal or overextension.
🧬 Temporal Structure & Alpha
This strategy is deployed on a 10-hour chart — a non-standard timeframe that may align more effectively with multi-timeframe mean reversion dynamics.
This subtle adjustment exploits what some traders identify as “temporal drift” — the desynchronization of volatility across timeframes that creates hidden rhythm in price action.
→ For example, Stochastic on 4H (lookback 17) and Bollinger Bands on 1H (lookback 20) may periodically sync around 10H intervals, offering unique alpha windows.
📊 Indicator Components
🔹 Stochastic Oscillator (4H, Length 17)
Detects momentum reversals using %K and %D crossovers
Helps define overbought/oversold zones from a mid-term view
🔹 Bollinger Bands (1H, Length 20, ±2 StdDev)
Measures price volatility using standard deviation around a moving average
Entry occurs near lower band (support), exits near upper band (resistance)
🔹 Multi-Timeframe Logic
Uses request.security() to safely reference 4H and 1H indicators from a 10H chart
Avoids repainting by using closed higher-timeframe candles only
📈 Visualization
A plot selector input allows toggling between:
Stochastic Plot (%K & %D, with overbought/oversold levels)
Bollinger Bands Plot (Upper, Basis, Lower from 1H data)
This helps users visually confirm entry/exit triggers in real time.
🛠 Customization
Fully configurable Stochastic and BB settings
Timeframes are independently adjustable
Strategy settings like position sizing, slippage, and commission are editable
⚠️ Disclaimer
This strategy is intended for educational and informational purposes only.
It does not constitute financial advice or a recommendation to buy or sell any asset.
Market conditions vary, and past performance does not guarantee future results.
Always test any trading strategy in a simulated environment and consult a licensed financial advisor before making real-world investment decisions.
Squeeze Go Momentum Pro [KingThies] █ OVERVIEW
The Squeeze Momentum Pro indicator identifies volatility compression phases and breakout opportunities by comparing Bollinger Bands to Keltner Channels. When price consolidates (squeeze), the bands contract inside the channels, signaling an imminent breakout. The momentum histogram shows directional bias, helping traders anticipate which way price will move when the squeeze releases.
This indicator displays in a separate panel below the price chart, providing clear visual signals without cluttering price action.
█ KEY FEATURES
Momentum Histogram
The histogram is the primary visual element, displaying momentum strength and direction with four distinct color states:
• Dark Green (#00C853) — Strong bullish momentum that is increasing. This signals strengthening upward pressure and potential continuation.
• Light Green (#26A69A) — Bullish momentum that is decreasing. Price remains in bullish territory but upward force is weakening.
• Dark Red (#D32F2F) — Strong bearish momentum that is increasing. This signals strengthening downward pressure and potential continuation.
• Light Red (#EF5350) — Bearish momentum that is decreasing. Price remains in bearish territory but downward force is weakening.
The color intensity provides immediate feedback on momentum strength and trend health.
Squeeze State Indicator
Colored dots on the zero line communicate the current volatility state:
• Orange Dots — Squeeze is ON. Bollinger Bands have contracted inside Keltner Channels, indicating consolidation and low volatility.
A breakout is building and traders should prepare for directional movement.
• Green Dots — Squeeze is OFF. Bollinger Bands have expanded outside Keltner Channels, indicating active momentum and higher volatility.
Price is moving with conviction in the current direction.
• Gray Dots — Neutral state. The bands are transitioning between squeeze states.
Release Triangles
Triangle shapes mark the exact bar when a squeeze releases, providing precise entry timing:
• Green Triangle Up — Bullish squeeze release. The squeeze has ended with positive momentum, suggesting a long setup opportunity.
• Red Triangle Down — Bearish squeeze release. The squeeze has ended with negative momentum, suggesting a short setup opportunity.
Information Panel
A compact dashboard in the top-right corner displays real-time trading intelligence:
• Squeeze Status — Current state: ON, OFF, or NEUTRAL with color coding
• Momentum Direction — Current bias: BULL or BEAR
• Momentum Value — Precise numerical reading of momentum strength
• Trading Signal — Actionable status: LONG SETUP, SHORT SETUP, WAIT, or MONITOR
Configurable Parameters
All calculation inputs are adjustable to match your trading style and timeframe:
• BB Length — Bollinger Bands period (default: 20)
• BB StdDev — Bollinger Bands standard deviation multiplier (default: 2.0)
• KC Length — Keltner Channels period (default: 20)
• KC ATR Multiplier — Keltner Channels range multiplier (default: 1.5)
• Momentum Length — Linear regression period for momentum calculation (default: 20)
Alert System
Four alert conditions notify you of critical trading opportunities:
• Bullish Squeeze Release — Squeeze has released with bullish momentum, indicating a potential long entry
• Bearish Squeeze Release — Squeeze has released with bearish momentum, indicating a potential short entry
• Squeeze Started — Volatility compression detected, prepare for upcoming breakout
• Squeeze Ended — Volatility expansion confirmed, breakout is active
█ TRADING METHODOLOGY
The indicator follows a clear four-step process for identifying and trading squeeze breakouts:
1 - Wait for Orange Dots . When orange dots appear on the zero line, a squeeze is building. This indicates price consolidation and declining volatility.
Do not enter trades during this phase. Instead, prepare by identifying key support and resistance levels and potential breakout directions.
2 - Watch for Release Triangle . When a triangle appears, the squeeze has released and a breakout is beginning. This is your entry signal.
The triangle color (green up or red down) combined with the histogram direction indicates the breakout direction.
3 - Confirm with Histogram Direction . Check the momentum histogram for directional confirmation:
• Green histogram + green triangle up = Go long. Bullish momentum supports upward breakout.
• Red histogram + red triangle down = Go short. Bearish momentum supports downward breakout.
4 - Monitor Momentum Intensity . Stay in the trade while histogram bars maintain their dark, intense color.
When colors lighten (dark green to light green, or dark red to light red), momentum is weakening and you should consider taking profits or tightening stops.
█ INTERPRETATION GUIDE
Squeeze Detection Logic
A squeeze occurs when Bollinger Bands contract inside Keltner Channels. This happens when:
• Standard deviation of price decreases (BB narrows)
• Price consolidates within a tight range
• Volatility compresses to unsustainable levels
The orange dots signal this condition, warning traders that explosive movement is imminent.
Squeeze Release Logic
A squeeze releases when Bollinger Bands expand outside Keltner Channels. This happens when:
• Price volatility increases sharply
• Price breaks out of consolidation
• Volume typically expands (check volume separately)
The green dots and release triangles signal this condition, indicating the direction and timing of the breakout.
Momentum Reading
The histogram uses linear regression to calculate momentum relative to the midpoint of the recent range:
• Above Zero : Price is trading above the range midpoint with bullish pressure
• Below Zero : Price is trading below the range midpoint with bearish pressure
• Increasing Bars : Momentum is strengthening in the current direction (darker color)
• Decreasing Bars : Momentum is weakening in the current direction (lighter color)
█ BEST PRACTICES
• Timeframe Selection — The indicator works on all timeframes but performs best on 15-minute to daily charts.
Lower timeframes may produce more false signals due to noise.
• Confluence Trading — Combine squeeze releases with support/resistance levels, trend lines, or other indicators for higher probability setups.
• Volume Confirmation — Check that squeeze releases occur with increasing volume. Low volume breakouts are more likely to fail.
• Multiple Timeframe Analysis — Check higher timeframes for overall trend direction. Trade squeeze releases that align with the larger trend.
• Parameter Adjustment — Increase BB and KC lengths for smoother signals on higher timeframes. Decrease for more sensitive signals on lower timeframes.
█ LIMITATIONS
• The indicator does not predict breakout direction before the squeeze releases. The momentum histogram provides bias but is not definitive until the breakout occurs.
• False breakouts can occur, particularly in choppy or low-volume market conditions. Always use proper risk management and stop losses.
• The indicator works best in trending markets. In deeply ranging markets with no clear direction, squeeze signals may be less reliable.
• Momentum calculations use linear regression which can lag during extremely fast price movements. Confirm signals with price action.
█ NOTES
This implementation uses linear regression for momentum calculation rather than simple moving averages, providing more responsive and accurate directional signals. The four-color histogram system gives traders nuanced feedback on momentum strength that binary color schemes cannot provide.
The indicator automatically adjusts to any symbol and timeframe without modification, making it suitable for stocks, forex, crypto, and futures markets.
█ CREDITS
Squeeze methodology inspired by John Carter's TTM Squeeze indicator. Momentum calculation and visual design optimized for modern trading workflows.
BB SPY Mean Reversion Investment StrategySummary
Mean reversion first, continuation second. This strategy targets equities and ETFs on daily timeframes. It waits for price to revert from a Bollinger location with candle and EMA agreement, then manages risk with ATR based exits. Uniqueness comes from two elements working together. One, an adaptive band multiplier driven by volatility of volatility that expands or contracts the envelope as conditions change. Two, a bias memory that re arms the same direction after any stop, target, or time exit until a true opposite signal appears. Add it to a clean chart, use the markers and levels, and select on bar close for conservative alerts. Shapes can move while the bar is open and settle on close.
Scope and intent
• Markets. Currently adapted for SPY, needs to be optimized for other assets
• Timeframes. Daily primary. Other frames are possible but not the default
• Default demo. SPY on daily
• Purpose. Trade mean reversion entries that can chain into a longer swing by splitting holds into ATR or time segments
Originality and usefulness
• Novelty. Adaptive band width from volatility of volatility plus a persistent bias array that keeps the original direction alive across sequential entries until an opposite setup is confirmed
• Failure modes mitigated. False starts in chop are reduced by candle color and EMA location. Missed continuation after a take profit or stop is addressed by the re arm engine. Oversized envelopes during quiet regimes are avoided by the adaptive multiplier
• Testability. Every module has Inputs and visible levels so users can see why a suggestion appears
• Portable yardstick. All risk and targets are expressed in ATR units
Method overview in plain language
The engine measures where price sits relative to Bollinger bands, confirms with candle color and EMA location, requires ADX for shorts(in our case long close since we use it currently as long only), and optionally requires a trend or mean reversion regime using band width percent rank and basis slope. Risk uses ATR for stop, target, and optional breakeven. A small array stores the last confirmed direction. While flat, the engine keeps a pending order in that direction. The array flips only when a true opposite setup appears.
Base measures
• Range basis. True Range smoothed over a user defined ATR Length
• Return basis. Not required
Components
• Bollinger envelope. SMA length and standard deviation multiplier. Entry is based on cross of close through the band with location bias
• Candle and EMA filter. Close relative to open and close relative to EMA align direction
• ADX gate for shorts. Requires minimum trend strength for short trades
• Adaptive multiplier. Band width scales using volatility of volatility so envelopes breathe with conditions
• Regime gate optional. Band width percent rank and basis slope identify trend or mean reversion regimes
• Risk manager. ATR stop, ATR target, optional breakeven, optional time exit
• Bias memory. Array stores last confirmed direction and re arms entries while flat
Fusion rule
Minimum satisfied gates count style. All required gates must be true. Optional gates are controlled in Inputs. Bias memory never overrides an opposite confirmed setup.
Signal rule
• Long setup when close crosses up through the lower band, the bar closes green, and close is above the long EMA
• Short setup when close crosses down through the upper band, the bar closes red, close is below the short EMA, and ADX is above the minimum
• While flat the model keeps a pending order in the stored direction until a true opposite setup appears
• IN LONG or IN SHORT describes states between entry and exit
What you will see on the chart
• Markers for Long and Short setups
• Exit markers from ATR or time rules
• Reference levels for entry, stop, and target
• Bollinger bands and optional adaptive bands
Inputs with guidance
Setup
• Signal timeframe. Uses the chart timeframe
• Invert direction optional. Flips long and short
Logic
• BB Length. Typical 10 to 50. Higher smooths more
• BB Mult. Typical 1.0 to 2.5. Higher widens entries
• EMA Length long. Typical 10 to 50
• EMA Length short. Typical 5 to 30
• ADX Minimum for short. Typical 15 to 35
Filters
• Regime Type. none or trend or mean reversion
• Rank Lookback. Typical 100 to 300
• Basis Slope Length and Threshold. Larger values reduce false trends
Risk
• ATR Length. Typical 10 to 21
• ATR Stop Mult. Typical 1.0 to 3.0
• ATR Take Profit Mult. Typical 2.0 to 5.0
• Breakeven Trigger R. Move stop to entry after the chosen multiple
• Time Exit. Minimum bars and extension when profit exceeds a fraction of ATR
Bias and rearm
• Bias flips kept. Array depth
• Keep rearm when flat. Maintain a pending order while flat
UI
• Show markers and levels. Clean defaults
Usage recipes
Alerts update in real time and can change while the bar forms. Select on bar close for conservative workflows.
Properties visible in this publication
• Initial capital 25000
• Base currency USD
• If any higher timeframe calls are enabled, request.security uses lookahead off
• Commission 0.03 percent
• Slippage 3 ticks
• Default order size method Percent of equity with value 5
• Pyramiding 0
• Process orders on close On
• Bar magnifier Off
• Recalculate after order is filled Off
• Calc on every tick Off
Realism and responsible publication
No performance claims. Costs and fills vary by venue. Shapes can move intrabar and settle on close. Strategies use standard candles only.
Honest limitations and failure modes
High impact releases and thin liquidity can break assumptions. Gap heavy symbols may require larger ATR. Very quiet regimes can reduce contrast in the mean reversion signal. If stop and target can both be touched inside one bar, outcome follows the TradingView order model for that bar path.
Regimes with extreme one sided trend and very low volatility can reduce mean reversion edges. Results vary by symbol and venue. Past results never guarantee future outcomes.
Open source reuse and credits
None.
Backtest realism
Costs are realistic for liquid equities. Sizing does not exceed five percent per trade by default. Any departure should be justified by the user.
If you got any questions please le me know
Ultimate RSI Suite [BigBeluga]🔵 OVERVIEW
The Ultimate RSI Suite elevates the classic RSI into a full professional trading system.
It combines momentum analysis, advanced divergence detection, volatility-based RSI channels, multi-timeframe signals, deviation tracking, and reversal alerts into one powerful tool.
This is no ordinary RSI — it’s a complete momentum intelligence engine designed to identify trend strength, exhaustion, breakout conditions, and reliable reversal points with high precision.
⚠️ Note:
This suite enhances RSI with MTF dashboards, dynamic channels, deviation logic, and smart alerting — ideal for scalpers, swing traders, and institutional-style trend followers.
🔵 CONCEPTS
Measures market momentum to detect overbought/oversold zones and trend health
Tracks RSI behavior relative to dynamic channels (BB/Keltner/Donchian)
Identifies regular bullish & bearish divergences
Detects deviation moves after divergence to confirm trend continuation or exhaustion
Multi-timeframe RSI conditions reveal higher-timeframe confluence
Reversal triggers confirm early momentum shifts
Overbought/oversold gradients visually highlight exhaustion zones
🔵 FEATURES
Classic + Enhanced RSI with configurable lookback & price source
RSI-Channel System (Bollinger, Keltner, Donchian) for volatility-adaptive trend structure
RSI-Smoothing MA for trend direction filters
RSI Reversal Signals for early trend inflection detection
RSI Reversal Signals Deviation Levels +1 / +2 for advanced continuation confirmation
Overbought/Oversold Gradient Zones at 35/65 or user-defined levels
Divergence Engine for bullish & bearish momentum exhaustion signals
On-Chart Divergence & Signals (full overlay capability)
Divergence Engine Deviation Levels +1 / +2 for advanced continuation confirmation
Multi-Timeframe Dashboard (RSI OB/OS, signals, divergences, channel breaks)
• Hover your mouse over any signal cell to see how many bars ago it was triggered
• Signals automatically expire after 50 bars
Smart Alerts for divergence, reversals, channel breaks, and deviation triggers
🔵 HOW TO USE
Enter long when RSI reverses from oversold & prints bullish divergence or a ▲ signal
Enter short when RSI reverses from overbought & prints bearish divergence or ▼
Use channel breaks to confirm momentum expansions or trend shifts
Look for deviation crosses (+1 / +2) for strong confirmation after divergence
Track MTF table — more timeframe agreement = stronger conviction
Avoid trading against MTF RSI extremes (OB/OS stacked zones)
Combine with market structure or volume-based tools for maximum precision
🔵 ALERTS
Includes full automation suite:
Bullish / Bearish divergence
Reversal signals (▲ / ▼)
Channel breakouts (Up/Down)
Deviation +1 / +2 confirmation triggers
Extra RSI signal deviation alerts for precision continuation reads
Great for automated systems, confirmation models, and high-probability intraday/swing entries.
🔵 CONCLUSION
The Ultimate RSI Suite transforms RSI into a smart momentum-analysis system.
With multi-timeframe logic, dynamic channels, advanced divergence/deviation systems, and powerful visual cues, it offers institutional-grade trend, exhaustion, and reversal detection.
If you rely on RSI, this toolkit provides superior clarity, deeper context, and stronger execution timing — making it an elite upgrade for professional traders.
Script pago
Liquidity & Momentum Master (LMM)💎 Liquidity & Momentum Master (LMM)
A professional dual-system indicator that combines:
📦 High-Volume Support/Resistance Zones and
📊 RSI + Bollinger Band Combo Signals — to visualize both smart money footprints and momentum reversals in one clean tool.
🧱 1. High-Volume Liquidity Zones (Support/Resistance Boxes)
Conditions
Visible only on 1H and higher timeframes (1H, 4H, 1D, etc.)
Detects candles with abnormally high volume and strong ATR-based range
Separates bullish (support) and bearish (resistance) zones
Visualization
All boxes are white, with adjustable transparency (alphaW, alphaBorder)
Each box extends to the right automatically
Only the most important (Top-N) zones are kept — weaker ones are removed automatically
Interpretation
White boxes = price areas with heavy liquidity and volume concentration
Price approaching these zones often leads to bounces or rejections
Narrow spacing = consolidation, wide spacing = potential large move
💎 2. RSI Exit + BB-RSI Combo Signals
RSI Exit (Overbought/Oversold Recovery)
RSI drops from overbought (>70) → plots red “RSI” above the candle
RSI rises from oversold (<30) → plots green “RSI” below the candle
Works on 15m, 30m, 1H, 4H, 1D
→ Indicates short-term exhaustion recovery
BB-RSI Combo (Momentum Reversal Confirmation)
Active on 1H and higher only
Requires both:
✅ RSI divergence (bullish or bearish)
✅ Bollinger Band re-entry (after temporary breakout)
Combo Buy (Green Diamond)
Bullish RSI divergence
Candle closes back above lower Bollinger Band
Combo Sell (Red Diamond)
Bearish RSI divergence
Candle closes back below upper Bollinger Band
→ Confirms stronger reversal momentum compared to standard RSI signals
RSI Exit + BB-RSI Combo📊 RSI Exit + BB-RSI Combo Indicator
This indicator combines RSI overbought/oversold exit signals with Bollinger Band re-entry conditions to highlight potential reversal or retracement zones.
1️⃣ RSI Exit Signal
- When RSI drops below 70 after being overbought → 🔴 "RSI" label
- When RSI rises above 30 after being oversold → 🟢 "RSI" label
- Works on 15m / 30m / 1h / 4h / 1D timeframes
2️⃣ BB-RSI Combo Signal
- When an RSI divergence forms and
- The candle body re-enters the Bollinger Band on 1H+ timeframe
→ Combo signal (💎 diamond) is shown
💡 How to Use
- Use RSI exit signals to spot overextension corrections
- Use combo signals to identify high-probability reversal or rebound setups
- Suitable for both swing and short-term trading
SFC Bollinger Band and Bandit概述 (Overview)
SFC 布林通道與海盜策略 (SFC Bollinger Band and Bandit Strategy) 是一個基於 Pine Script™ v6 的技術分析指標,結合布林通道 (Bollinger Bands)、移動平均線 (Moving Averages) 以及布林海盜 (Bollinger Bandit) 交易策略,旨在為交易者提供多時間框架的趨勢分析與進出場訊號。該腳本支援風險管理功能,並提供視覺化圖表與交易訊號提示,適用於多種金融市場。
This script, written in Pine Script™ v6, combines Bollinger Bands, Moving Averages, and the Bollinger Bandit strategy to provide traders with multi-timeframe trend analysis and entry/exit signals. It includes risk management features and visualizes data through charts and trading signals, suitable for various financial markets.
功能特點 (Key Features)
布林通道 (Bollinger Bands)
提供可調整的標準差參數 (σ1, σ2),支援多層布林通道顯示。
進場訊號基於價格穿越布林通道上下軌,並結合連續K線確認機制。
Provides adjustable standard deviation parameters (σ1, σ2) for multi-layer Bollinger Bands display.
Entry signals are based on price crossing the upper/lower bands, combined with a consecutive bar confirmation mechanism.
移動平均線 (Moving Averages)
支援簡單移動平均線 (SMA) 或指數移動平均線 (EMA),可自訂快、中、慢線週期。
Supports Simple Moving Average (SMA) or Exponential Moving Average (EMA) with customizable fast, medium, and slow line periods.
布林海盜策略 (Bollinger Bandit Strategy)
基於變動率 (ROC) 與布林通道動態止損,提供做多與做空訊號。
包含動態止損均線與平倉天數設定,增強交易靈活性。
Utilizes Rate of Change (ROC) and Bollinger Bands with dynamic stop-loss for long and short signals.
Includes dynamic stop-loss moving average and liquidation days for enhanced trading flexibility.
多時間框架分析 (Multi-Timeframe Analysis)
支援六個時間框架 (5分、15分、1小時、4小時、日線、週線) 的趨勢分析。
通過表格顯示各時間框架的連續上漲/下跌趨勢,輔助交易決策。
Supports trend analysis across six timeframes (5m, 15m, 1h, 4h, daily, weekly).
Displays consecutive up/down trends in a table to aid decision-making.
風險管理 (Risk Management)
提供基於 ATR 或布林通道的停利/停損設定。
自動計算交易手數,根據報價貨幣匯率調整風險敞口。
Offers take-profit/stop-loss settings based on ATR or Bollinger Bands.
Automatically calculates trading lots, adjusting risk exposure based on quote currency exchange rates.
視覺化與提示 (Visualization and Alerts)
繪製布林通道、移動平均線、海盜策略動態止損線及交易訊號。
提供多時間框架趨勢表格、交易手數標籤及浮水印。
支援交易訊號快訊,方便即時監控。
Plots Bollinger Bands, Moving Averages, Bandit strategy stop-loss lines, and trading signals.
Includes multi-timeframe trend tables, trading lot labels, and watermark.
Supports alert conditions for real-time trade monitoring.
使用說明 (Usage Instructions)
設置參數 (Parameter Setup)
布林通道 (Bollinger Bands): 可調整週期 (預設21)、標準差 (σ1=1, σ2=2) 及停利/停損依據 (ATR 或 BAND)。
移動平均線 (Moving Averages): 可選擇顯示快線 (10)、中線 (20)、慢線 (60),並切換 SMA/EMA。
布林海盜 (Bollinger Bandit): 調整通道週期 (50)、平倉均線週期 (50) 及 ROC 週期 (30)。
時間框架 (Timeframes): 自訂六個時間框架,預設為 5分、15分、1小時、4小時、日線、週線。
Adjust Bollinger Band period (default 21), standard deviations (σ1=1, σ2=2), and take-profit/stop-loss basis (ATR or BAND).
Configure Moving Averages (fast=10, medium=20, slow=60) and toggle SMA/EMA.
Set Bollinger Bandit parameters: channel period (50), liquidation MA period (50), ROC period (30).
Customize six timeframes (default: 5m, 15m, 1h, 4h, daily, weekly).
交易訊號 (Trading Signals)
買入訊號 (Buy): 價格穿越下軌且滿足連續K線條件。
賣出訊號 (Sell): 價格穿越上軌且滿足連續K線條件。
海盜策略訊號: 基於 ROC 與布林通道穿越,結合動態止損。
Buy signal: Price crosses below lower band with consecutive bar confirmation.
Sell signal: Price crosses above upper band with consecutive bar confirmation.
Bandit strategy signals: Based on ROC and band crossings with dynamic stop-loss.
視覺化 (Visualization)
布林通道以不同顏色顯示上下軌與中軌。
移動平均線以快、中、慢線區分顏色。
趨勢表格顯示各時間框架的趨勢狀態 (🔴上漲, 🟢下跌, ⚪中性)。
海盜策略顯示動態止損線與交易狀態。
Bollinger Bands display upper, lower, and middle bands in distinct colors.
Moving Averages use different colors for fast, medium, and slow lines.
Trend table shows timeframe trends (🔴 up, 🟢 down, ⚪ neutral).
Bandit strategy displays dynamic stop-loss and trading status.
Stocktech.in - MidasStocktech.in – Midas: All-in-one charting indicator featuring neutral candles, trend guide bands, StockTech info table, and high-volume markers (HVQ/HVY/HVE) for quick visual volume analysis. Fully customizable and toggleable.






















