BBS – Bond Breadth Signal"When bonds scream, breadth collapses, and fear spikes — BBS listens."
🧠 BBS – Bond Breadth Signal
A reversal timing tool built on macro conviction, not price noise.
The Bond Breadth Signal (BBS) was developed to identify major market inflection points by combining four key market stress indicators:
1) 10-Year Yield ROC – Measures sharp moves in the bond market
2) Z-Score of the 10Y – Captures statistical extremes
3) NSHF (Net Highs–Lows) – Signals internal market strength or weakness
4) TLT ROC + VIX – Confirmations of flight to safety and volatility-driven fear
When all conditions align, BBS marks either a For-Sure Buy or For-Sure Sell — these are rare, high-confidence signals designed to cut through noise and focus on true market dislocations.
🔧 Features:
-Background color and signal arrows on confirmation days
-Signals remain visually active for 3 days for added clarity
-Fully adjustable thresholds and alert toggles
-Plot panel for yield, TLT, NSHF, VIX, and Z-score visuals
This tool isn’t designed to fire every day. It’s meant to wait for those moments when the market truly bends — not just wiggles.
Best used on major indices (SPY, QQQ, IWM) to assess macro turning points.
Volatilidade
ML Regime Detection + Risk OverlayGuide to Using the “ML Regime Detection + Risk Overlay” Tool
For Traders Seeking Smarter, Adaptive Risk and Trend Context
Highly Optimized for "The Way of Radius"
🔍 Overview
The ML Regime Detection + Risk Overlay is a custom Pine Script indicator designed to help traders adjust risk exposure and trade strategy based on prevailing market conditions. It uses a machine-learning-inspired regime classifier and overlays risk metrics directly on your chart.
This tool answers key questions like:
"Is this a normal or volatile market?"
"How much should I risk right now?"
"Are the current conditions favorable for trend-following or mean-reversion?"
🧠 Key Features
Feature Description
ML-Inspired Regime Classifier Detects Normal, Volatile, or Crisis market states based on calculated inputs.
Dynamic Risk Allocation Adjusts recommended Risk %, Reward/Risk Ratio, and Max Position Size for each regime.
Real-Time Risk Overlay Table Displays all key metrics in a visual table—color-coded for quick interpretation.
Volatility/Volume/Correlation Inputs Tracks ATR ratio, Volume Z-score, and SPX-VIX correlation for regime classification.
ADX Trend Confirmation Adds Average Directional Index (ADX) for validating trend strength (added in latest version).
Background Color Coding Shades the chart background green (normal), orange (volatile), or red (crisis) for intuitive regime awareness.
⚙️ Core Inputs Explained
Input Function
ATR Ratio Measures current volatility vs. recent average. High = turbulent.
Volume Z-score Spots volume spikes that may indicate panic or exuberance.
SPX-VIX Correlation A rising correlation suggests systemic risk—higher values indicate crisis risk.
ADX Measures trend strength. 20–25+ = trending; below = ranging.
📊 Table Metrics & Color Logic
Each table row reflects a vital market health indicator. Text colors are assigned based on threshold logic:
Green → healthy/normal
Yellow → approaching caution levels
Red → abnormal, elevated risk
Metric Role
ATR Ratio > 1.2 = volatile; > 1.5 = crisis
Volume Z-score > 1.0 = volatile; > 2.0 = crisis
SPX-VIX Corr. > 0.4 = volatile; > 0.7 = crisis
ADX > 25 = strong trend
💡 How to Use It
1. Gauge the Regime
Look at:
Background color
Table cell for "Regime"
ATR, Volume Z, SPX-VIX Correlation
📘 Tip: Avoid aggressive entries during “Crisis” regimes. Focus on high-R:R setups or small sizing.
2. Adjust Risk Settings
Use table guidance:
Risk % = how much of your account to risk
RR Ratio = suggested Reward/Risk target
Max Size % = ceiling for position size
📘 Tip: In Volatile or Crisis modes, reduce your size or wait for ADX to confirm strength.
3. Filter Entries with ADX
If ADX < 20–25: skip breakout trades; look for ranges or reversals.
If ADX > 25: trend-following entries (breakouts, pullbacks) are safer.
✅ Benefits
🧠 Smarter Trade Selection
Align entries with macro conditions (regime state) to reduce false signals.
📉 Downside Protection
Adapts position sizing and risk levels to avoid oversized losses during turbulent periods.
📈 Confidence in Trend Plays
ADX + Normal regime = strong green light for momentum/trend setups.
⏱ Time-Efficient Decision Making
Quickly interpret risk using the table and background without scanning multiple indicators.
🛠️ Suggested Use Cases
Use Case How to Apply It
Breakout Traders Only take breakouts in Normal regime + ADX > 25
Scalpers Avoid trading in Crisis regime; watch volume spikes
Swing Traders Use regime + ADX to time entries within larger trend context
Risk Managers Use the dynamic risk parameters to manage exposure per regime
🧪 Example Strategy Integration
Combine with:
Keltner Channels for entry zones
SuperTrend for trend filtering
Manual confirmation (candlestick patterns, S/R)
📘 Ideal when used with a position sizing engine
🧾 Conclusion
The ML Regime Detection + Risk Overlay is not just an indicator—it's a risk-aware market lens that adapts to changing conditions. It’s built to help you:
Trade what’s appropriate for the market’s current state
Avoid overexposure during risky times
Ride momentum with confidence during healthy periods
Use it as your daily dashboard before placing trades—and combine it with structured strategies for optimal results.
crt 1. Market Structure (Internal & External)
External structure: Follows HH-HL or LH-LL structure → trend direction is determined.
Internal structure: Small structures formed within external swing (CHoCHs) → to determine OB.
2. Order Block (OB)
Extreme OB: The lowest/highest point where the external structure starts (the last candle that receives liquidity).
Decisional OB: The last bearish/bullish candle formed in the internal structure and breaking the external should receive internal liquidity.
3. SMT (Smart Money Technique)
Discrepancy is sought between EUR/USD and GBP/USD pairs:
When EUR/USD makes lower low
If GBP/USD makes higher low → bullish SMT
4. Entry (15M)
When 4H OB is touched,
If SMT has formed,
A candle close above the “last series of down candle” at 15M → long entry
SL: Key low at 15M
TP: The other end of the external structure
📋 Progress Plan
Let's do the steps as follows:
1. 🔍 First: On the 4H chart
Determine external & internal structure
Draw OB boxes
2. 🧠 SMT control
Draw GBP/USD data as 4H
Mark SMT with LL vs HL detection
3. 🧭 15M control for entry
When 4H OB is touched
xa
15M signal from timeframe (multitimeframe)
OA - SMESSmart Money Entry Signals (SMES)
The SMES indicator is developed to identify potential turning points in market behavior by analyzing internal price dynamics, rather than relying on external volume or sentiment data. It leverages normalized price movement, directional volatility, and smoothing algorithms to detect potential areas of accumulation or distribution by market participants.
Core Concepts
Smart Money Flow calculation based on normalized price positioning
Directional VHF (Vertical Horizontal Filter) used to enhance signal directionality
Overbought and Oversold regions defined with optional glow visualization
Entry and Exit signals based on dynamic crossovers
Highly customizable input parameters for precision control
Key Inputs
Smart Money Flow Period
Smoothing Period
Price Analysis Length
Fibonacci Lookback Length
Visual toggle options (zones, glow effects, signal display)
Usage
This tool plots the smoothed smart money flow as a standalone oscillator, designed to help traders identify potential momentum shifts or extremes in market sentiment. Entry signals are generated through crossover logic, while optional filters based on price behavior can refine those signals. Exit signals are shown when the smart money line exits extreme regions.
Important Notes
This indicator does not repaint
Works on all timeframes and instruments
Best used as a confirmation tool with other technical frameworks
All calculations are based strictly on price data
Disclaimer
This script is intended for educational purposes only. It does not provide financial advice or guarantee performance. Please do your own research and apply appropriate risk management before making any trading decisions.
Macro Volatility Index TrackerVolatility Index Common TradingView Symbol
VIX CBOE: VIX
RVX CBOE: RVX
NAZVOL CBOE: VXN (sometimes used)
GVZ CBOE: GVZ
OVX CBOE: OVX
💹 OptionHawkThe 💹 OptionHawk is a sophisticated, multi-featured trading indicator designed for intraday and swing traders, particularly those dealing in options (CALL/PUT) strategies. It is built to identify high-probability entries, offer dynamic risk-reward levels, and provide visual confirmations for trade validation, all while being customizable to a trader’s strategy preferences.
🧠 What Makes It Unique:
✅ Hybrid Strategy: Combines trend and custom trend logic.
🎯 Precision Targets: Multiple profit targets help with partial exits and risk management.
🔄 Dual Strategy Handling: Handles both CALL and PUT signals in a single unified system.
🖌️ Bar Coloring + Labeling: Highly visual design for ease of real-time decision-making.
🧩 Modular Design: Parameters can be fine-tuned for scalping, intraday, or swing setups.
📈 No Repainting Logic: All signals are based on confirmed candle closes.
🚀 Ideal Use Cases:
🔹 Options Traders (NIFTY, BANKNIFTY, etc.)
🔹 Intraday Traders seeking rapid confirmation and momentum-based signals.
🔹 Trend-Followers who want entry after confirmation.
🔹 Scalpers using multiple TPs for fast exits.
🔹 Manual and Semi-Automated Strategies (via alerts or visual monitoring)
The 💹 OptionHawk isn’t just another signal indicator. It's a visually rich, confirmation-based, target-driven strategy tool tailored for precision trading in volatile markets. Whether you're a discretionary trader or looking to build a semi-automated setup, this indicator acts as your personal trading assistant—offering data, direction, and discipline all in one package.
Universal Valuation | QuantMAC🎯 Universal Valuation | QuantMAC
🚀 Professional-Grade Valuation Engine with 14+ Technical Components
The Universal Valuation indicator is a sophisticated composite analysis tool that combines multiple technical indicators, statistical measures, and risk ratios to provide a comprehensive assessment of asset valuation across all market conditions and timeframes.
📊 Core Architecture & Methodology
🔬 Z-Score Normalization System
Each component is normalized using statistical Z-scores, which measure how many standard deviations a value is from its historical mean. This standardization allows different indicators to be combined meaningfully:
Positive Z-scores indicate values above historical average (potentially overvalued)
Negative Z-scores indicate values below historical average (potentially undervalued)
Individual lookback periods for each component ensure optimal sensitivity
Real-time statistical calculations with dynamic standard deviation adjustments
📈 Composite Scoring Algorithm
The final valuation score is calculated as the weighted average of all enabled components, providing a unified view of market conditions while maintaining granular control over individual inputs.
🛠️ Technical Components Breakdown
📊 Momentum & Oscillator Components
🎯 RSI (Relative Strength Index)
Function: Measures price momentum and overbought/oversold conditions
Default Settings: 21-period RSI with 150-period Z-score normalization
Analysis: Values above 70 (traditional) become positive Z-scores, indicating potential overvaluation
Edge: Z-score normalization adapts to changing market volatility unlike fixed thresholds
🌊 CCI (Commodity Channel Index)
Function: Identifies cyclical price patterns and extreme price levels
Default Settings: 30-period CCI with 150-period Z-score normalization
Analysis: Measures price deviation from statistical mean using typical price (HLC/3)
Edge: Excellent for identifying price extremes in trending and ranging markets
🔵 Chande Momentum Oscillator
Function: Advanced momentum indicator using sum of gains vs. sum of losses
Default Settings: 50-period calculation with 50-period Z-score normalization
Analysis: Formula: 100 * (Sum_Gains - Sum_Losses) / (Sum_Gains + Sum_Losses)
Edge: Less prone to whipsaws compared to RSI, better momentum persistence detection
🎭 IMI (Intraday Momentum Index)
Function: Combines RSI concept with intraday price action analysis
Default Settings: 100-period calculation with 150-period Z-score normalization
Analysis: Uses gains/losses based on close vs. open rather than close-to-close
Edge: Captures intraday sentiment and gap behavior effectively
📈 Price Action & Trend Components
📊 Bollinger Bands Position
Function: Measures price position relative to volatility-adjusted bands
Default Settings: 30-period bands with 50-period Z-score normalization
Analysis: (Price - SMA) / (2 * Standard_Deviation) normalized to Z-score
Edge: Adapts to volatility changes, providing context-aware overbought/oversold levels
💹 Price Z-Score
Function: Direct statistical analysis of price deviation from historical mean
Default Settings: 150-period lookback for Z-score calculation
Analysis: Pure price momentum without indicator lag or smoothing
Edge: Unfiltered price analysis, excellent for mean reversion strategies
📊 Disparity Index
Function: Measures percentage deviation of price from its moving average
Default Settings: 10-period SMA with 150-period Z-score normalization
Analysis: 100 * (Price - SMA) / SMA, then normalized to Z-score
Edge: Highly sensitive to short-term price deviations, excellent for timing entries
🎯 TEMA (Triple Exponential Moving Average)
Function: Advanced moving average with reduced lag and improved responsiveness
Default Settings: 10-period TEMA with 150-period Z-score normalization
Analysis: Triple-smoothed EMA that maintains trend-following capability with less noise
Edge: Superior trend identification with minimal lag compared to traditional MAs
📊 Volume & Market Structure Components
📈 VWAP (Volume Weighted Average Price)
Function: Incorporates volume into price analysis for institutional perspective
Default Settings: Standard VWAP with 300-period Z-score normalization
Analysis: Compares current price to volume-weighted institutional benchmark
Edge: Reveals institutional sentiment and identifies fair value zones
⚡ Intraday Momentum
Function: Measures session-based momentum using open-to-close movement
Default Settings: (Close - Open) / Open * 100 with 250-period Z-score normalization
Analysis: Captures daily sentiment and gap behavior in percentage terms
Edge: Excellent for intraday trading and gap analysis strategies
🎲 Advanced Statistical Components
🌊 Hurst Exponent (Optional)
Function: Measures market efficiency and trend persistence characteristics
Default Settings: 100-period calculation with 200-period Z-score normalization
Analysis: Values > 0.5 indicate trending markets, < 0.5 indicate mean-reverting markets
Edge: Identifies market regime changes and optimal strategy selection
Note: Computationally intensive, disabled by default for performance
📊 Risk-Adjusted Performance Ratios
⚡ Sharpe Ratio
Function: Risk-adjusted return measurement using total volatility
Default Settings: 400-period calculation with 120-period Z-score normalization
Analysis: (Return - Risk_Free_Rate) / Standard_Deviation of returns
Edge: Identifies periods of superior risk-adjusted performance
🎯 Sortino Ratio
Function: Risk-adjusted return using only downside deviation (superior to Sharpe)
Default Settings: 400-period calculation with 120-period Z-score normalization
Analysis: (Return - Risk_Free_Rate) / Downside_Deviation
Edge: More accurate risk assessment as it ignores upside volatility
🌟 Omega Ratio
Function: Advanced risk measure comparing gains above threshold to losses below
Default Settings: 400-period calculation with 200-period Z-score normalization
Analysis: Sum_of_Gains_Above_Threshold / Sum_of_Losses_Below_Threshold
Edge: Captures full return distribution, not just mean and variance
🎨 Visualization & Interface
🌈 Dual Color Schemes
Bright Mode: Vibrant colors for clear daylight visibility
Dark Mode: Muted tones for low-light trading environments
Adaptive Gradients: Color intensity scales with Z-score magnitude
Background Highlighting: Optional panel and chart background coloring for extreme conditions
📊 Comprehensive Data Table
Real-time Z-scores for each enabled component
Composite score with gradient coloring
Valuation phase classification (6 distinct levels)
Toggle individual components on/off for custom analysis
🎯 Valuation Phase Classifications
📈 Systematic Valuation Levels
Extremely Undervalued: Z-score ≤ -2.0 (Exceptional buying opportunity)
Strongly Undervalued: Z-score ≤ -1.3 (Strong buying signal)
Moderately Undervalued: Z-score < -0.65 (Potential buying opportunity)
Fairly Valued: Z-score -0.65 to 0.5 (Neutral zone)
Slightly Overvalued: Z-score 0.5 to 1.2 (Caution zone)
Moderately Overvalued: Z-score 1.2 to 2.0 (Potential selling zone)
Strongly Overvalued: Z-score ≥ 2.0 (Strong selling signal)
🌍 Universal Asset Compatibility
✅ Equity Markets - Individual stocks, ETFs, indices, sector rotation analysis
✅ Cryptocurrency - Bitcoin, altcoins, DeFi tokens, NFT projects
8H
12H
4H
🚀 Key Strategic Advantages
🔬 Scientific Approach
Unlike traditional indicators that use fixed thresholds, the Universal Valuation employs dynamic statistical normalization that adapts to changing market conditions and volatility regimes.
⚡ Multi-Dimensional Analysis
Combines momentum, trend, volume, and risk-adjusted metrics to provide a 360-degree view of market valuation, reducing false signals and improving decision accuracy.
🎯 Customizable Framework
Enable or disable individual components to create custom valuation models tailored to specific assets, strategies, or market conditions.
📊 Institutional-Grade Metrics
Incorporates sophisticated risk ratios (Sharpe, Sortino, Omega) typically used by hedge funds and institutional investors.
💡 Professional Trading Applications
🎯 Mean Reversion Strategies
Identify extreme valuation levels for contrarian entries
Use composite Z-score thresholds for systematic signal generation
Combine with volume analysis for confirmation
📈 Trend Following Enhancement
Avoid trend entries during overvalued conditions
Use undervalued readings to add to existing positions
Time trend continuation trades with valuation support
🔄 Portfolio Management
Asset allocation based on relative valuation scores
Risk management using integrated Sharpe/Sortino ratios
Sector rotation timing using cross-asset comparison
⚡High-Frequency Applications
Intraday momentum component for scalping strategies
VWAP analysis for institutional order flow
Real-time composite scoring for algorithmic systems
🛠️ Configuration Best Practices
📊 Conservative Setup (Long-term)
Enable all components except Hurst Exponent
Use longer Z-score periods (200+) for stability
Focus on -1.3/+2.0 thresholds for major signals
⚡ Aggressive Setup (Short-term)
Emphasize momentum components (RSI, CCI, Chande)
Shorter Z-score periods (50-100) for responsiveness
Use -0.65/+1.2 thresholds for frequent signals
🎯 Risk-Focused Setup
Prioritize Sharpe, Sortino, and Omega ratios
Enable VWAP and price components
Use conservative thresholds with position sizing guidance
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🏆 Professional Multi-Asset Valuation System
The Universal Valuation indicator represents a quantum leap in technical analysis sophistication, combining academic rigor with practical trading applications. By normalizing diverse technical components through statistical Z-scores, it provides objective, data-driven valuation assessments that adapt to any market condition.
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📝 Disclaimer: This indicator is for educational and informational purposes only. The statistical models and risk ratios do not guarantee future performance. Always conduct thorough analysis and implement proper risk management practices.
Volatility Regime Tracker (VIX vs Realized + MOVE)Apply to any chart (preferably SPY, QQQ, or macro assets)
Add alert from the top menu using “Spread Crossed Above” or “Below”
Use the background regime shading to spot when markets move from:
🟢 Calm (green): VIX < Realized
🟡 Neutral
🔴 Panic (VIX premium)
Volatility Tracker: VIX, MOVE, RealizedRealized Volatility (Blue): Based on daily price changes.
VIX (Red): Implied equity volatility.
MOVE Index (Orange): Bond market volatility expectations.
Volatility Spread (Gray): VIX minus Realized Vol — useful for detecting complacency or fear premiums.
Volatility Tracker (VIX vs Realized)Plots Realized Volatility (historical, blue).
Plots Implied Volatility (VIX) (red).
Shows the spread between VIX and realized vol (gray), helping spot fear premium or complacency.
Median Shifting Band Oscillator | QuantMAC📊 Median Shifting Band Oscillator | QuantMAC
🚀 Revolutionary Trend Analysis with Integrated Performance Metrics
The Median Shifting Band Oscillator (MSBO) is a sophisticated technical analysis tool that combines dynamic median-based band calculations with a powerful oscillator to deliver precise trend identification across all market conditions and asset classes.
🎯 Core Features & Functionality
📈 Advanced Median Band Technology
Dynamic median calculation using customizable lookback periods (default 54 bars)
Adaptive standard deviation bands that adjust to market volatility
Real-time band positioning with visual overlay on price charts
Intelligent band fill visualization for enhanced trend clarity
⚡Precision Oscillator System
Normalized oscillator ranging from -50 to +50 for consistent readings
Customizable threshold levels for long (80) and short (54) signals
Multi-timeframe compatibility with real-time signal generation
Color-coded visualization with 9 professional color schemes
📊 Integrated Performance Dashboard
Real-time metrics calculation with professional statistics
Comprehensive risk metrics: Sharpe, Sortino, Omega ratios
Advanced position sizing with Half Kelly percentage
Maximum drawdown tracking and profit factor analysis
Customizable metrics table positioning (6 locations available)
🛠️ Trading Modes & Flexibility
🎭 Dual Trading Strategies
Long/Short Mode: Full bidirectional trading with short positions
Long/Cash Mode: Conservative approach with cash positions during bearish signals
🎨 Visual Customization
9 professional color schemes (Classic through Classic9)
Configurable date range limiter for backtesting
Force overlay plots for seamless chart integration
Dynamic bar coloring based on trend direction
📈 Performance Metrics Suite
The MSBO includes a comprehensive metrics table displaying:
Risk Analysis: Maximum Drawdown %, Sharpe Ratio, Sortino Ratio
Performance Metrics: Net Profit %, Profit Factor, Win Rate %
Advanced Statistics: Omega Ratio, Half Kelly %, Total Trades
Real-time Updates: Live calculation with every bar confirmation
🌍 Universal Asset Compatibility
✅ Cryptocurrencies - Bitcoin, altcoins, and DeFi tokens
✅ Stock Markets - Individual stocks, ETFs, and indices
🎯 Key Advantages
🔄 Adaptive Intelligence
The median-based approach provides superior noise filtering compared to traditional moving averages, automatically adjusting to changing market volatility patterns.
⚡ Real-time Precision
Advanced signal generation with customizable thresholds ensures optimal entry and exit timing while minimizing false signals.
📊 Professional Analytics
Built-in performance tracking eliminates the need for external backtesting tools, providing instant strategy validation and optimization insights.
🎨 User Experience
Intuitive interface with professional-grade customization options suitable for both retail traders and institutional analysts.
🚀 Getting Started
Add the indicator to your chart
Configure your preferred color scheme and trading mode
Adjust threshold levels based on your risk tolerance
Enable the metrics table for performance tracking
Set date range for historical analysis (optional)
💡 Pro Tips
Trend Confirmation: Use oscillator position relative to zero line for primary trend bias
Signal Quality: Higher threshold values reduce signal frequency but increase accuracy
Multi-Timeframe: Combine with higher timeframe analysis for enhanced precision
Risk Management: Monitor Half Kelly % for optimal position sizing guidance
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🏆 Professional-Grade Tool for Serious Traders
The Median Shifting Band Oscillator represents the evolution of technical analysis, combining time-tested statistical methods with modern computational power to deliver actionable trading insights across all market conditions.
💬 Questions? Comments? Share your them below! 👇
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📝 Disclaimer: This indicator is for educational and informational purposes only. Past performance does not guarantee future results. Always conduct your own analysis and manage risk appropriately.
TradeMaster PRO v1.0TradeMaster PRO v1.0 – Smart Entry/Exit + Risk Dashboard
TradeMaster PRO v1.0 is a high-performance trading assistant designed for precision entries, dynamic take-profits, and intelligent risk management. Built for intraday and swing traders, it combines trend detection, VWAP-based confluence, swing logic, and a fully integrated trade/risk dashboard.
⸻
✅ Core Features:
• Smart Signal Logic:
• Combines Supertrend, ATR deviation zones, and VWAP-based filters.
• Filters signals with a 200 EMA trend confirmation.
• Alternating buy/sell logic avoids redundant entries.
• Dynamic Entry/Exit System:
• Entry price and stop-loss (SL) calculated automatically on each signal.
• Take Profits (TP1/TP2/TP3) can be based on:
• Previous swing highs/lows or
• Custom risk-reward ratios (R-Multiples).
• Trailing Stop Loss (TSL):
• Auto-adjusts based on TP hits for locking profits.
• SL → Entry after TP1, SL → TP1 after TP2, SL → TP2 after TP3.
• Live Trade Management Panel:
• Status messages like SL Hit, TP1/2/3 Hit, and Opposing Signal Alerts.
• All plotted visually on chart for clarity.
• Mini Trade Dashboard (Top-Right):
• Shows Entry, SL, TP levels, and their % distances from entry.
• Trade type (Buy/Sell) clearly marked.
• Risk Dashboard (Bottom-Right):
• Calculates:
• Ideal Position Size based on Account Size, Risk %, and Leverage.
• Capital Required.
• Live PnL and % of Position Closed.
• Dynamic Risk-Reward Ratios (Live / Max / Achieved).
• Alerts:
• Instant Buy/Sell alerts for automation or notification setup.
⸻
⚙️ User Inputs:
• Supertrend parameters: ATR Length, Factor
• VWAP-based confluence tuning (Period, Alpha)
• Stop Loss %
• Swing Length for TP detection
• Toggle: Swing-based vs R-Multiple TPs
• TP R values: TP1/2/3
• Risk Settings: Account Size, Risk %, Leverage
⸻
📊 Recommended Timeframes:
• Optimized for 5-min and above
• Ideal for intraday, short-term swing trading
⸻
🚀 Use Cases:
• Manual traders looking for structured trade setups
• Algo-traders who want visual + quantitative signal support
• Strategy testers validating fixed RR models or swing logic
Fair Value Gap [Dova Lazarus]Fair Value Gap (FVG)
This indicator identifies Fair Value Gaps (FVGs) — price inefficiencies between candles — often used in Smart Money Concepts (SMC). It highlights bullish and bearish gaps on the chart using customizable boxes or high/low lines, and supports up to five higher timeframes (HTFs).
Features include:
Mitigation detection (partial or full fills)
Custom gap width, colors, and extension
Midpoint lines and HTF labels
Max displayed zones limit for performance
Ideal for traders looking to spot potential reversal or continuation zones with institutional logic.
Daily Weekly Monthly Highs & Lows [Dova Lazarus]D|W|M Highs & Lows
This script automatically plots Daily, Weekly, and Monthly Highs & Lows to help you identify key price levels and market structure on any intraday chart.
🔍 Features:
✅ Daily, Weekly, and Monthly swing levels
🎯 Highlights key support/resistance zones
🔄 Extends lines into the future for visual clarity
🌈 Optional gradient coloring for recency awareness
⚙️ Fully customizable line colors, styles, and lookback periods
💡 Use Cases:
Identify significant price reactions from higher-timeframe levels
Confirm entries/exits with HTF confluence
Useful for SMC, ICT, and price action traders
Works best on intraday timeframes (1m – 4H) for optimal precision.
Average Daily Range [Dova Lazarus]Title: Average Daily Range
Description:
The Average Daily Range (ADR) indicator by Mantique Capital is designed to help traders assess the potential volatility of a trading day. It calculates the average range between daily highs and lows over a user-defined period and plots projected high/low zones based on that range.
Key Features:
📊 Plots ADR-based high and low levels for the current day
🎯 Choose between bullish and bearish bias for level calculation
📈 Optional 30% to 90% intermediate levels with customizable style and color
🏷️ Display percentage labels showing distance in pips
🔁 Adjustable ADR period length and number of days displayed
This indicator is useful for determining how much price movement (volatility) to expect in a given trading day, making it an excellent tool for setting targets, managing risk, and identifying overextension zones.
Inspired by the popular "Best ADR Indicator for MT4"
Stochastic RSI and BB - RKDual-Power Indicator: Stochastic RSI and On-Chart Bollinger Bands!
I'm excited to present my latest Pine Script indicator, "Stochastic RSI and BB - RK." I designed this script to bring two of the most popular and effective technical analysis tools together into a single, cohesive view. By combining the power of Stochastic RSI in a lower pane with directly plotted Bollinger Bands on your main chart, I believe this indicator offers a unique advantage for identifying momentum shifts, overbought/oversold conditions, and volatility trends.
What I've Built In
I've carefully crafted this indicator with distinct features for both components:
1. Stochastic RSI (Lower Pane)
I've included a fully customizable Stochastic RSI in a separate pane below your main chart. This momentum oscillator helps you gauge whether an asset is overbought or oversold, based on its RSI value.
Smooth K & D Lines: I've provided inputs to fine-tune the smoothing periods for both the %K and %D lines, allowing you to adjust sensitivity to market noise.
RSI and Stochastic Lengths: You have full control over the lookback periods for both the underlying RSI calculation and the Stochastic process itself.
Customizable Source: I've made the RSI source adjustable, defaulting to close, but allowing you to experiment with other price types.
Clear Overbought/Oversold Zones: I've plotted standard 80 and 20 levels, along with a middle 50 line, and filled the area between 80 and 20 to easily visualize overbought and oversold regions.
2. On-Chart Bollinger Bands (Main Chart Overlay)
I've integrated Bollinger Bands directly onto your main price chart. These dynamic bands are a powerful tool for measuring volatility and identifying potential price reversal points.
Adjustable Length & Standard Deviation: I've included inputs for you to set the period for the moving average and the standard deviation multiplier, giving you flexibility to adapt to different instruments and timeframes.
Multiple MA Types: I've ensured you have a choice of popular moving average types for the basis of the bands: SMA, EMA, SMMA (RMA), WMA, or VWMA.
Offset Option: I've added an offset input for those who prefer to shift the bands horizontally.
Visual Clarity: The area between the upper and lower bands is filled, which I find greatly enhances readability and helps in quickly identifying periods of expansion or contraction.
How I Envision You Using This
I believe this dual-purpose indicator can be incredibly beneficial for confirming trade signals. For example, you might look for:
Potential Reversals: When price touches the Bollinger Band extremes while the Stochastic RSI is in an overbought/oversold zone and showing signs of turning.
Breakouts: When the Bollinger Bands narrow (indicating low volatility), followed by a breakout of the bands, confirmed by strong momentum on the Stochastic RSI.
Trend Confirmation: Using the Bollinger Bands to identify the prevailing trend and the Stochastic RSI to pick optimal entry and exit points within that trend.
I've put a lot of effort into making this a valuable tool for your trading arsenal. I truly hope this combination provides you with the clarity and edge needed to make more informed decisions.
If you find this script useful, please consider boosting it to show your support and encourage me to create more tools like this. Your feedback is highly appreciated as I constantly strive to improve.
I wish you all the best on your trading journey!
System 0530 - Stoch RSI 指标 (带ATR)Indicator Overview: System 0530 - Stoch RSI Signals (ATR Filtered)
This indicator displays potential long and short signals directly on your chart. It combines a dual-timeframe Stochastic RSI analysis (using the current chart timeframe and the 15-minute timeframe) with an ATR (Average True Range) volatility filter.
Signal Logic:
Initial Trigger: Based on Stochastic RSI crossovers and overbought/oversold levels on the current chart timeframe (e.g., 5-minute).
Confirmation: Seeks further confirmation from the 15-minute Stochastic RSI.
ATR Filter: An optional ATR filter helps ensure signals are considered only when market volatility is deemed sufficient.
Signal Cooldown: Prevents too many signals of the same direction in rapid succession.
Display:
Long Signals: Marked with a green upward triangle below the price bar.
Short Signals: Marked with a red downward triangle above the price bar.
Purpose: Designed to assist traders in identifying potential entry points based on Stochastic RSI conditions and market volatility. Users can adjust various parameters to suit different instruments and trading strategies.
Institutional Intraday Master (No Loops)📊 Institutional Intraday Master Indicator: How-To Guide for New Traders
1. What Does This Indicator Do?
The Institutional Intraday Master is a custom TradingView script that helps you:
• Spot when big institutions (like hedge funds) might be buying or selling.
• Identify important price levels based on recent trading activity.
• Get clear buy (“INST LONG”) and sell (“INST SHORT”) signals.
• Manage risk with automatic stop (invalidation) signals.
2. Key Acronyms & Terms
Acronym Meaning
RSI Relative Strength Index (momentum measure)
POC Point of Control (price with most volume)
VAH Value Area High (top of high-volume zone)
VAL Value Area Low (bottom of high-volume zone)
ATR Average True Range (volatility measure)
MACD Moving Average Convergence Divergence
3. How to Add the Script to TradingView
1. Copy the full Pine Script code (see previous answer).
2. Open TradingView and go to the chart of your chosen stock or ETF (e.g., SPY, AAPL).
3. Click Pine Editor at the bottom of the screen.
4. Paste the code into the editor.
5. Click Add to Chart (or “Save” then “Add to Chart”).
6. The indicator will appear on your chart with colored backgrounds, lines, and buy/sell signals.
4. What Do the Visuals Mean?
• Green Background:
Institutions are likely buying (bullish bias).
• Red Background:
Institutions are likely selling (bearish bias).
• Purple Dots (POC):
The price where the most volume traded in the last 30 bars (often a “magnet” for price).
• Gray Lines (VAH/VAL):
The top and bottom of the high-volume area—think of these as “fair value” boundaries.
• Blue Lines:
Recent breakout levels (upper = bullish breakout, lower = bearish breakout).
• Green “INST LONG” Label:
Suggested buy (long) entry.
• Red “INST SHORT” Label:
Suggested sell (short) entry.
5. How to Use for Day Trading
A. Setup
• Use a 5-minute or 15-minute chart for intraday trading.
• The indicator will automatically update key levels and signals.
B. Entry Signals
• Buy (Long):
• When you see a green “INST LONG” label, and the background is green.
• Example: Price breaks above the blue upper band with strong volume.
• Sell (Short):
• When you see a red “INST SHORT” label, and the background is red.
• Example: Price breaks below the blue lower band with strong volume.
C. Risk Management
• The script uses ATR (Average True Range) to suggest stop-loss distances.
• Stop out (invalidation):
• If you’re long and price closes below the gray VAL line or drops by more than 1 ATR from the last low, consider exiting.
• If you’re short and price closes above the gray VAH line or rises by more than 1 ATR from the last high, consider exiting.
D. Take Profit
• Consider taking profit at the next major volume level (POC, VAH/VAL) or when a reversal signal appears.
6. Example Trade
Let’s say you’re trading SPY on a 5-minute chart:
• The background turns green, and a green “INST LONG” label appears at $590.
• The purple POC dot is at $592, and the gray VAH is at $593.
• Trade Plan:
• Enter long at $590.
• Set a stop-loss at $588 (2 ATR below entry).
• Target $592 (POC) or $593 (VAH) for profit.
If price reaches $592 and starts to stall, you might take profit. If price falls to $588, you exit for a small loss.
7. Keys to Watch for Invalidation
• Invalidation means your trade setup is no longer valid.
• For longs:
• Price closes below VAL or makes a new low by more than 1 ATR.
• For shorts:
• Price closes above VAH or makes a new high by more than 1 ATR.
• Always honor your stop-loss!
8. Tips for Success
• Don’t trade every signal. Wait for confirmation (e.g., strong volume, trend in your favor).
• Practice on a simulator before using real money.
• Adjust settings (like ATR multiplier or volume profile length) to fit your style and the asset’s volatility.
9. Illustration Key
• ! ( i.imgur.com background = institutional buying, purple dot = POC, blue line = breakout, green label = buy signal.*
10. Summary Table
Visual/Signal Meaning What To Do
Green background Institutional buying Favor long trades
Red background Institutional selling Favor short trades
Purple dot (POC) Volume magnet/target Use as profit/entry/exit level
Blue line Breakout level Watch for breakouts
Green label Buy (long) signal Consider entering long
Red label Sell (short) signal Consider entering short
Gray lines (VAH/VAL) Value area boundaries Use for stops and targets
US30 Daily Trade FinderElevate Your US30 Trading with Daily Trade Finder
Welcome to the next evolution in breakout-based trading on Daily Trade Finder v1.0—for US30 (Dow Jones). Designed by FX DISTRIBUTION for traders who demand clarity, consistency, and built-in risk control, this invite-only indicator cuts through the noise and delivers high-probability entry signals every New York session.
✨ What It Does
Session-Based Breakout Detection
Tracks the Asian session’s high and low (automatically highlighted on your chart).
Monitors London’s liquidity sweeps of those Asian extremes to determine directional bias (bullish if the Asian high is breached, bearish if the Asian low is pierced).
During the New York session, fires a “Buy” or “Sell” label whenever price closes beyond the prior session range in the direction of your bias.
Fixed & Dynamic TP/SL Calculation
Fixed Mode: Uses a Simple “Pip Offset” for Stop-Loss and Take-Profit (30–50 pips SL, 75–100 pips TP by default).
Dynamic ATR Mode: Automatically adjusts your SL/TP based on real-time market volatility (ATR), so you never risk being prematurely stopped out during high-volatility episodes or leaving money on the table in tight ranges.
Built-In Backtest Dashboard
On the final bar of your replay or live chart, a compact, on-screen table displays:
Total Entries
Wins vs. Losses
Win Rate (%)
Average Profit per Trade (%)
Total Profit (%)
No need for external export—see exactly how the indicator has performed over your chosen timeframe, so you trade with confidence rather than guesswork.
On-Chart Trade Labels & Alerts
Entry Labels: Green “Buy” arrows and red “Sell” arrows appear precisely when conditions align.
Exit Labels: Clearly marks “Exit Long” or “Exit Short” at TP levels if your SL/TP is hit and if the “Show Exit Point” option is enabled.
Customizable Alerts: Receive native TradingView push, email, or pop-up alerts when a signal fires or a TP/SL is reached—never miss a key move again.
🏆 Why It’s Unique
Integrated Session Logic + Breakout Edge: Most breakout tools simply watch price vs. a static range. Daily Trade Finder layers on ICT session philosophy—filtering Asian ranges, waiting for London sweeps, and then only trading in New York. This three-step filter drastically reduces false signals.
Adaptive Risk Management: Instead of forcing a one-size-fits-all pip offset, our Dynamic ATR mode scales every SL/TP to the market’s current volatility—giving you breathing room in wild markets and tighter exits in calm markets.
Transparency with Backtest Metrics: Built-in, on-chart backtesting metrics mean you see your win rate and profitability at a glance without exporting data to spreadsheets or Blockchain. You’ll know in real time if your set-and-forget strategy really works.
Invite-Only, Protected Code: The logic is proprietary to FX DISTRIBUTION. By keeping this indicator invite-only, we ensure you have a dedicated support channel and a hand-picked community of serious US30 traders.
⚙️ How It Works (Step-by-Step)
Add ICT Session Marker (Optional)
Drop the ICT Sessions indicator on your US30 chart to color-code Asian, London, and New York blocks for clearer context.
Add Daily Trade Finder to Your 5 Min (or 3 Min) US30 Chart
Confirm your inputs:
Market Open Time: Set your broker’s UTC-offset so “New York” session aligns correctly.
TP/SL Mode: Select “Fixed” (30–50 pip SL, 75–100 pip TP) or “Dynamic ATR” (custom ATR length & multipliers).
Show Exit Labels: Toggle on if you want to see exactly where TP or SL triggered.
Identify Bias via London Sweep
During 2 AM–5 AM EST (London session), wait for price to break above the prior Asian High (bullish bias) or below the prior Asian Low (bearish bias).
If no clear sweep, skip the day or wait for retest—there is no forced entry.
Trade in New York Session (7 AM–10 AM EST)
On the 5 Min (or 3 Min) chart, watch for a “Buy” label (green arrow) if bullish bias, or a “Sell” label (red arrow) if bearish bias.
Execute market order immediately at label’s candle close.
Set Stop-Loss & Take-Profit
SL: 30–50 pips away from entry. With a R 1 500 starting balance on US30, we recommend 0.01 lots (30 pip SL ≈ R 12 = ~0.8 % risk).
TP: 75–100 pips (1 – 2 Risk:Reward). If price reaches TP, you’ll see an “Exit Long” or “Exit Short” label.
Review Backtest Dashboard
As soon as the final bar of your replay or live chart loads, your on-screen table shows your results: number of signals, wins/losses, win rate, average % return per trade, and total % profit.
Use this immediate feedback to adjust your session times, TP/SL preferences, or risk tolerance if needed.
🚀 Benefits for Traders
Clarity Over Noise: Rather than guessing which breakout to follow, you see exactly when and why those breakouts occur (session sweeps).
Automated Precision: One click installs, and all key SL/TP levels auto-calculate in real time—no need for manual pip counting.
Built-In Proof of Concept: The dashboard quantifies your edge in seconds—no more “back-of-the-napkin” calculations or Excel exports.
Invite-Only Community: By maintaining a private roster, we ensure each user has direct support, receives update notices, and trades alongside other committed US30 specialists.
Scalable Risk Control: Whether you’re starting with R 1 500 or R 150 000, simply adjust your lot size and the indicator’s built-in rules keep your risk at 1–2 % per trade.
Final Thoughts
Daily Trade Finder v1.0 marries ICT session logic with real-time breakout filtering and adaptive risk controls, all packaged into a slick, on-chart dashboard. For serious US30 (Dow Jones) traders, this is not just another indicator—it’s a complete, invite-only toolkit designed to minimize guesswork, maximize clarity, and put your edge firmly in your corner.
Ready to trade like a pro? Request your invite now and join the FX DISTRIBUTION community of high-performance US30 breakout specialists. Good luck, and trade with confidence!
Friday SET 1 & 2 - NQ Options LevelsDaily NQ Levels - Just copy paste Zone Set 1 & 2 into this indicator to update the daily levels.