Projected Astro Map for $SPX - 2026This indicator projects the astrological turn dates for SP:SPX (S&P 500) for the year 2026.
Planetary influence of the market is a less known fact and not much research has gone into that subject. I have done extensive analysis on this subject for the past 20 years and this indicator is a result of that research.
This indicator projects the turns for the entire year of 2026. The projected curve in Blue indicates potential turns in $SPX. Projected curve for 2025 has been added for you to verify. 2025 Projection was posted on my X feed (@traderastro) at the beginning of Year 2025 itself. You can see for how tightly the actual price action has followed the projected curve of Year 2025. Once we know the turns in the market ahead of time, we can position our trades accordingly. This can serve as a road map so that you can avoid the potholes in the market as you navigate through Year 2026
This indicator is for purchase only. Please contact SKumar@finastrotrader.com (+1-510-363-5055) if you are interested
You can check out my website for more information about how the Planets influence the market. My website is finastrotrader.com
finastrotrader.com
X : x.com/TraderAstro
FB : facebook.com/finastrotrader
IG : instagram.com/finastrotrader
Forecasting
TWIX TRAP V2 - Ultimate Signal Engine# TWIX TRAP V2 - Ultimate Signal Engine
## 🎯 Professional Multi-Layer Trading System
TWIX TRAP V2 is a sophisticated trading signal system that combines **liquidity analysis**, **exhaustion detection**, and **momentum triggers** to identify high-probability trade setups.
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## 🔥 How It Works
The indicator uses a **4-step confirmation process** before generating any signal:
**Step 1: Liquidity Purge Detection**
Monitors key price levels (Daily, Weekly, Monthly highs/lows) and detects when smart money hunts stop losses.
**Step 2: Exhaustion Analysis (Heavy Matrix)**
Uses weighted Z-score calculations to identify when the market is overextended and due for a reversal.
**Step 3: Ready State Confirmation**
Only when BOTH liquidity purge AND exhaustion align does the system enter a "ready" state.
**Step 4: Precision Trigger (Light Matrix)**
Times the exact entry when momentum begins reversing, ensuring optimal entry points.
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## ⚡ Key Features
✅ **4 Quality Modes** - From Sniper (1 signal/week) to Scalper (10+ signals/day)
✅ **Multi-Timeframe Liquidity** - Tracks Monthly, Weekly, Daily, 4H, and 1H levels
✅ **Dynamic Zones** - Self-adjusting thresholds based on market conditions
✅ **Signal Strength Rating** - 1-4 rating based on liquidity level significance
✅ **Visual Dashboard** - Real-time status of all system components
✅ **Strong Signal Alerts** - Special markers for high-probability setups
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## 📊 Signal Quality Options
| Quality Mode | Signals | Best For |
|--------------|---------|----------|
| Sniper (1/week) | ~1/week | Swing trading, major reversals |
| High (1/day) | ~1/day | Day trading (recommended) |
| Medium (3-5/day) | 3-5/day | Active trading |
| Scalper (10+/day) | 10+/day | Scalping, high frequency |
---
## 🎨 Visual Guide
- **X Marker (Green/Red)** - Liquidity purge detected
- **Background Color** - Green = BUY ready, Red = SELL ready
- **Triangle** - Normal signal (strength 1-2)
- **Dot + Label** - STRONG signal (strength 3-4) ⭐
---
## 📈 Works Best On
- Cryptocurrencies (SOL, BTC, ETH)
- Forex pairs
- Indices
- Any liquid market
**Recommended Timeframes:** 15m, 30m, 1H, 4H
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## ⚠️ Risk Disclaimer
This indicator is a trading tool, not financial advice. Always manage your risk properly and never trade with money you cannot afford to lose. Past performance does not guarantee future results.
---
## 🔑 Access
This is an **invite-only** indicator. Contact me for access details.
---
**Happy Trading! 🎯**
Multi-Timeframe Trend AnalysisThis indicator is a comprehensive 6-timeframe trend analysis tool designed to provide traders with a bird's-eye view of market direction. By aggregating data across multiple intervals, it helps identify when the broader market sentiment is in alignment, reducing the risk of trading against the primary trend.
Trend Engine Pro (E+X+C)Trend Engine Pro (E+X+C)
Short Description
Trend Engine Pro is an institutional-grade trend system that combines early trend entries (E), smart exits on momentum exhaustion (X), and confirmed reversals (C).
Built with volatility-normalized momentum and state-machine logic, it helps traders enter trends early, manage risk efficiently, and avoid noise across all timeframes.
Key Signals
E (Early Entry): Enter trends when momentum and structure align
X (Exit): Exit on momentum exhaustion before trend breakdown
C (Confirmed): Confirm real trend reversals with persistence
Disclaimer:
This indicator is for educational and informational purposes only and does not constitute financial advice, investment recommendations, or an offer to buy or sell any financial instrument.
Trading involves risk, and past performance is not indicative of future results.
Always test strategies thoroughly and manage risk appropriately.
No repaint.
Works on all timeframes and assets.
NQ 2026 Strategic Levels + Market MemoryTitle: NQ Strategic Levels 2026: Volume Profile & Market Memory
Description: This indicator plots the critical institutional levels for NQ (Nasdaq-100) heading into 2026. It is designed to help traders visualize the "Market Structure" map based on the 2025 yearly volume profile and key historical events.
How it Works: The script projects three dynamic "Zones" and three fixed "Historical Markers" to the right of your chart. It does not clutter the past price action; it focuses on future price discovery.
1. The 2026 Active Zones (Boxes):
🛑 Resistance (Supply Zone): Derived from the "Trapped Buyers" of late 2025. This is where overhead supply is likely to cause profit-taking.
⚖️ The Pivot (Equilibrium): Based on the Q4 2025 High Volume Node (HVN). This is the "Line in the Sand." Above this zone, the weekly bias is Bullish. Below it, the bias shifts to Bearish/Correction.
💰 The Buy Zone (Support): The Yearly Value Area Low (VAL). This represents the strongest institutional support and a high-probability area for "Buy the Dip" programs.
2. The 2025 Market Memory (Dashed Lines):
Triple Witch Liquidity: The December 2025 rejection high.
AI Summer Breakout: The key breakout level from mid-2025 that flipped from resistance to support.
Tariff Scare Floor: The macro bottom established during the volatility of April 2025.
How to Use:
Trend Followers: Watch the Pivot Zone. If price holds above it, target the Resistance Zone.
Mean Reversion Traders: Look for rejections at the Resistance Zone or bounces at the Buy Zone.
Risk Management: Use the Historical Markers as invalidated points or profit targets.
Disclaimer: These levels are based on volume analysis and historical price action. Not financial advice. Trade at your own risk.
~ News @JoechartzLive Economic Calendar by Toodegrees with custom modifications.
The dots get their info straight from what the table shows so you must have it set to "Today" if you want the desired experience.
Finastrotrader - Two Drive Harmonic Pattern Indicator V4_2512_28This indicator identified when the price comes down for a 2nd retest of the low/high and paints the pattern accordingly. The indicator identifies the following
1) The next direction of the move
2) Paints where the reversal could occur to enter the trade
3) Two Target Zones following a reversal to book profits
DCA + VA (Value Averaging) | UA versionDCA + VA (Value Averaging) | UA version
DCA + VA is a practical portfolio simulator for TradingView that compares two long-term investing approaches on any symbol:
• DCA (Dollar-Cost Averaging) — invest a fixed amount on a fixed schedule.
• VA (Value Averaging) — invest (and optionally sell) to keep the invested part of the portfolio close to a target growth path.
The indicator is plotted in a separate lower pane and is designed for realistic capital efficiency analysis, including the effect of cash sitting idle (“cash drag”).
What you see on the chart
• Two thick yellow lines
— DCA line: portfolio value under classic DCA
— VA line: portfolio value under Value Averaging
• Trade dots
— Small green dots : buys
— Small red dots : sells (VA only, if enabled)
• UA table + right-side labels
— key portfolio metrics for both strategies
Core assumptions
• Trades are executed at bar close ( close )
• Dividends and broker commissions are ignored (for now)
• Optional tax logic is available for VA sells: tax is applied to realized profit using average cost basis
Line mode
• Капітал+Кеш (default): shows total portfolio value = holdings + cash (honest “cash drag”)
• Лише капітал : shows holdings value only (invested part)
DCA logic (classic)
Start from Start date .
On each scheduled period ( Week / Month / Half-year / Year ) the script:
• adds the deposit amount to cash
• buys the asset for that amount (if cash is available)
VA logic (Value Averaging)
VA maintains a target value for the invested holdings (asset value only, cash not included ).
On each VA step:
Regular deposit is added to VA cash
Target is updated by period growth g (derived from annual CAGR and selected frequency)
If holdings value is below target → buy using cash (optionally add extra if enabled)
If holdings value is above target and selling is enabled → sell down to target (cash increases; optional profit tax applies)
Target update formula:
Target = Target × (1 + g) + Regular deposit
Optional controls
• Sell excess ( vaSellExcess ): allow sells when above target
• Add extra on drawdowns ( vaAddExtra ): allow additional contributions when cash isn’t enough
• Max extra per period ( vaMaxExtra ): cap extra contributions ( 0 = unlimited )
• Tax on sells ( vaUseTax / vaTaxRate ): apply tax to realized profit (average cost basis)
Table metrics (UA)
For both DCA and VA:
• Накопичено — total contributed cash
• Інвестовано — current invested cost basis
• Кеш — cash balance
• Капітал — portfolio value (based on selected line mode)
• Прибуток % — ROI in percent
• CAGR стратегії — annualized return based on elapsed time
Best use (recommended settings)
• Best timeframe: 1W
Weekly candles make long-term simulations cleaner and more realistic: less noise, fewer “micro” fluctuations, and more stable periodic triggers for DCA/VA steps.
• Recommended workflow:
Set chart timeframe to 1W
Choose deposit frequency (usually Тиждень or Місяць )
Start with Капітал+Кеш to see true cash drag
Compare DCA vs VA using Прибуток % and CAGR (not only absolute $)
• How to interpret results:
— If VA has higher capital but lower ROI %, it usually means you contributed more (extra funding enabled).
— If VA sells rarely, your target path may be aggressive (high CAGR + large deposits), so holdings don’t exceed the target often.
Notes
• If VA shows higher capital but lower profit % , it usually means more total contributions (extra funding enabled).
• Sells can be rare if the target path grows aggressively (high CAGR + large deposits).
Pro Value Master - All in One: Fundamentals 10Y, CAGR, DCF, Debt
Stop guessing. Start investing like an institution. The Pro Value Master transforms your chart into a professional financial terminal. It provides the crucial data you need to assess Quality, Valuation, and Risk in seconds. You get 3 indicators in one.
🔥 THE KILLER FEATURE: 2-3-5-7-10-YEAR CAGR for all our fundamentals 🔥
TradingView gives you raw data. We give you the truth. This indicator automatically calculates the Compound Annual Growth Rate (CAGR) for 2, 3, 5, 7, and 10 years — a feature you won't find in standard tools.
📊 Table 1: The Quality Matrix (Top Right)
A complete 10-year snapshot (2016–2025) plus our exclusive CAGR analysis.
ROIC %: The king of quality metrics. Shows management efficiency.
Free CF / Share: The real cash profit. The basis for all valuations.
EPS & Revenue: Track the top and bottom line growth instantly.
Gross Margin %: The ultimate indicator for pricing power.
Rule of 40: The quick-check for Tech/SaaS health (Growth + Margin > 40).
Tang. Book Val/Sh: Your hard downside protection.
💰 Table 2: Value & Risk Check (Bottom Right)
Protect your capital with the "Buffett Check".
Market Cap & EV: The true price tag of the business.
Net Debt / EBITDA: Can the company pay its bills?
🟢 < 2x / Negative: Safe / Net Cash Position.
🔴 > 4x / Neg. EBITDA: Danger Zone.
🚀 Table 3: Auto-DCF Calculator (Middle Right)
A dynamic Discounted Cashflow model built right in.
Uncapped Auto-Growth: If input is 0, the script automatically calculates and applies the 5-Year Free Cashflow CAGR without limits.
Fair Value: The calculated intrinsic value per share.
Buy Price: Your entry point including a safety margin (default 30%).
Invest in data, not stories.
⚠️ Disclaimer This script and the data presented are for educational and informational purposes only. It does not constitute financial advice, an investment recommendation, or an offer to buy or sell securities.
Theoretical Nature: All calculations (including DCF Fair Value and CAGR) are theoretical estimates based on historical data and specific mathematical models. They do not guarantee future performance.
No Liability: The author assumes no responsibility for any trading losses or damages incurred as a result of using this tool.
Do Your Own Research: Markets are volatile. Always conduct your own due diligence and consult with a certified financial advisor before making any investment decisions.
Use at your own risk.
PSP Gann Major Low Expansion LevelsPSP Gann Major Low Expansion Levels
Overview
This indicator identifies the major low price within a user-defined lookback period (default: 25 years) and projects Gann-inspired expansion levels upward from that low. These levels represent percentage multiples of the base low, helping traders spot potential resistance/support zones, breakout targets, and harmonic expansion points in trending markets. Ideal for swing and positional trading in stocks, indices, or forex.
Key Features
Dynamic Lookback & Intervals: Automatically adjusts expansion granularity based on lookback years:
≤5 years: 50% multiples (finer for short-term analysis).
≤15 years: 100% multiples.
≤20 years: 500% multiples.
20 years: 1000% multiples (coarser for long-term cycles).
Major Low Detection: Scans historical bars to pinpoint the absolute lowest close within the lookback, with exact date tracking.
Smart Level Drawing: Plots unlimited levels below/equal to current price for full historical context, but limits to exactly 3 levels above CMP to avoid chart clutter (e.g., useful for high-growth stocks like HBL).
Manual Override: Optionally input custom growth percentages (e.g., "100,200,300") for tailored projections.
Visual Aids:
Color-coded horizontal lines (green to teal cycling) with extend-both for future projections.
Labels showing % growth and price value.
Top-Right Table: Displays lookback range, major low price, and low date.
Bottom-Left Rules Box: Highlights active interval and a quick note: Use with PSP Suite for algo-based CE/PE entry signals in options trading.
How to Use
Add to your chart (works on any timeframe, best on daily/weekly).
Adjust "Strict Lookback Years" to focus on relevant cycles (shorter = more sensitive).
Enable "Use Manual Growth % Levels" for custom targets (comma-separated, no % sign).
Watch for price interactions: Confluence with Gann squares, Fib extensions, or volume spikes signals high-probability trades.
Pro Tip: Pair with momentum oscillators (e.g., RSI) to time entries at lower levels or exits near upper projections.
Customization Ideas
For volatile cryptos: Shorten lookback to 1-2 years with manual 25-50% steps.
For blue-chip stocks: Use full 25-year view for generational targets.
Extend via alerts: Set notifications when price crosses a labeled level.
This script draws from W.D. Gann's principles of geometric expansions while optimizing for modern platforms
HTF Bias Detector=== HUD DISPLAY ITEMS ===
1. **HTF (Timeframe Label)**
Shows the selected higher timeframe being monitored (e.g., "4h", "1D", "1W"). This confirms which timeframe data you're viewing above your current chart.
2. **Open, High, Low, Close (OHLC Values)**
Displays the candlestick values from the higher timeframe:
• Open: Entry price when the HTF candle opened
• High: Highest price reached during the HTF period
• Low: Lowest price during the HTF period
• Close: Most recent closing price on the HTF
Use these to identify key HTF price levels and support/resistance zones.
3. **TP (True Price Range)**
Shows the maximum price movement within the HTF candle. Calculated as: max(High - Low, |High - Previous Close|, |Low - Previous Close|)
Higher TP indicates greater volatility; lower TP suggests a consolidation period.
4. **ATR (Average True Range)**
Displays the average volatility over the last 14 HTF periods (customizable).
Use this to gauge typical price movement on the higher timeframe and set realistic profit targets and stop losses.
5. **MACD Value**
Shows the MACD momentum indicator (difference between 12 and 26-period EMAs) on the HTF.
Positive values suggest upward momentum; negative values indicate downward momentum on the higher timeframe.
6. **Signal Line**
The 9-period EMA of MACD on the HTF.
When MACD crosses above the signal line, it indicates bullish momentum confirmation on the higher timeframe.
7. **Histogram**
The difference between MACD and its Signal Line, visualized as bars.
Expanding bars show increasing momentum; shrinking bars show weakening momentum.
8. **Price Deviation**
Displays how far current price deviates from the HTF close in percentage terms.
Helps identify overbought/oversold conditions relative to the higher timeframe context.
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=== HOW TO USE ===
• Select your chart timeframe (e.g., 5m, 15m, 1h)
• Set the HTF to a higher timeframe (e.g., 4h, 1D) in indicator settings
• Look for confluence: when both timeframes align, trades are stronger
• Use HTF volatility (ATR) to size positions appropriately
• Combine HTF MACD direction with your current chart setup for confirmation
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=== SETTINGS ===
• HTF Period: Choose the higher timeframe to monitor
• ATR Length: Adjust sensitivity of volatility measurement (default: 14)
• MACD Settings: Customize fast/slow/signal periods for momentum analysis
TP & SL Indicator PRO [TheScalpingAnt]🟦 P & SL Indicator PRO
Precision Execution. Institutional Risk Control. Zero Guesswork.
Product Category: Trade Execution & Risk Architecture
Designed For: Professional-minded retail traders who demand structure, clarity, and disciplined execution
🟦 PURPOSE & ROLE OF THE INDICATOR
P & SL Indicator PRO is a professional execution framework, built to help traders plan, structure, and manage trades correctly — before pressing the Buy or Sell button.
Instead of guessing where to place stops or randomly choosing targets, the indicator automatically builds a visual execution architecture directly on the chart, including Entry, Stop Loss, and multiple Take Profits, supported by clear risk metrics and visual confirmation tools.
This tool is designed for traders who want:
• Professional execution discipline
• Accurate risk visualization
• Consistency in trade planning
• Faster and more confident decision-making
It does not generate trading signals.
It ensures that when you trade — you trade properly.
🟦 EXECUTION PHILOSOPHY
P & SL Indicator PRO is built around institutional execution principles:
• Trading success is not only based on analysis — it is deeply dependent on execution quality
• Risk must be measured before entering, not after
• Stop placement and Take Profits must be structured, not emotional
• Position sizing must reflect account risk tolerance
• Multiple Take Profits promote disciplined management instead of greed or panic
The indicator reinforces execution discipline by:
• Structuring every trade into Entry → Risk → Reward components
• Showing clear Stop Loss allocation
• Visually mapping Reward targets
• Building logical price progression between TP levels
• Presenting clean visual Risk vs Reward zones
You do not “hope”.
You execute — with clarity and intention
🟦 CORE CAPABILITIES
The indicator automatically calculates and displays:
• Entry price architecture
• Stop Loss placement (multiple calculation options)
• Take Profit progression (TP1 / TP2 / TP3)
• Real-time Risk metrics
• Risk-to-Reward measurements
• Position size approximation
• Visualized Risk & Profit zones
• Clean execution labelling on chart
This transforms trade execution from guesswork into a structured, rule-based process.
🟦 FEATURE SET
✔ Entry Line Placement System
✔ Automatic Stop Loss Engine (Percent or ATR Mode)
✔ Three Take Profit Levels with independent control
✔ Real-time RR visualization
✔ Position Size approximation engine
✔ Dedicated Risk Panel
✔ Visual Profit & Risk shaded zones
✔ Clean on-chart labels
✔ Fully customizable behavior & visuals
✔ Works on ALL markets and ALL timeframes
🟦 CUSTOMIZATION & CONTROL
The trader remains fully in control.
Every execution element can be shaped to match personal style, account size, and strategy type.
▶ Entry Mode
• Manual input
• Last close
• Candle open
▶ Risk Engine
• Balance input
• Risk % per trade
• Leverage consideration
▶ Stop Loss Options
• Percentage mode
• ATR mode
▶ Take Profits
• Independent percentage configuration
• Toggle TP2
• Toggle TP3
▶ Risk Panel
• Show / Hide
▶ Background Zones
• Enable / Disable
• Color selection
• Opacity control
This makes the tool suitable for:
Scalpers • Day Traders • Swing Traders • Crypto • Forex • Indices • Equities
🟦 TYPICAL WORKFLOW
A normal user flow looks like this:
1️⃣ Define Entry
2️⃣ Select LONG or SHORT
3️⃣ Choose Stop methodology (Percent or ATR)
4️⃣ Adjust risk settings
5️⃣ Review Stop distance & Position Size
6️⃣ Verify RR ratios
7️⃣ Execute with confidence
Instead of randomly placing levels, you execute structured plans.
🟦 PRACTICAL USE EXAMPLE
BTC LONG Scenario:
• Entry: 89,000
• Stop Loss: 1.2%
• TP1: 1%
• TP2: 2%
• TP3: 3%
• Risk: 1% account
The indicator immediately displays:
• Entry line
• Stop Loss in red
• TP1 / TP2 / TP3 in green
• Position Size estimation
• Risk-Reward ratios
• Profit shading zones
Instantly — you know:
• Is the risk acceptable?
• Is the RR structure logical?
• Does the trade make sense?
If YES → Execute with discipline.
If NO → You just avoided a bad trade.
This is what professional execution looks like.
🟦 SETTINGS SUMMARY
Key adjustable controls include:
• Entry Mode
• Manual Entry Price
• Trade Direction
• Risk Engine toggle
• Account Balance
• Risk %
• Leverage
• Stop Loss mode
• Stop Loss % / ATR / Multiplier
• TP1 / TP2 / TP3 %
• TP visibility toggles
• Risk Panel toggle
• Background enable
• Background colors
• Opacity controls
Every parameter exists to support real trading decisions — not aesthetics.
🟦 CONCLUSION
P & SL Indicator PRO is not “just another indicator”.
It is a trade execution framework.
It helps traders:
• Reduce emotional decisions
• Enforce structure
• Improve discipline
• Improve long-term consistency
• Execute with institutional-style clarity
Professionals plan trades before entering them.
Now retail traders finally have a tool engineered for the same standard.
🟦 DISCLAIMER
This indicator is a risk-management and execution support tool.
It does not provide financial advice or guarantee profitability.
Trading involves risk. Users remain fully responsible for their decisions.
Yearly Projection ExplorerThis indicator helps you understand how the current market period has behaved historically by overlaying the same date window from previous years and projecting it forward from today’s price.
The script works the following way:
Aligns past years to today’s calendar date
Normalizes all paths to the last close at the start
Projects historical performance X bars forward
Displays each year as a separate performance path
Calculates and plots the mean (average) projection for quick reference
🔧 How It Works
Number of Years: choose how many past years to include (e.g. last 10, 20, or 25 years)
Projection Length: choose how many bars (days) ahead to project
Each line shows how the market moved during the same period in a specific year
Labels show the year and total return at the projection end
The mean line highlights the average historical outcome
🧠 Why This Is Useful
Identify seasonal tendencies
Compare current price action to historical analogs
Visualize best / worst historical outcomes
Set realistic expectations for short-term moves
Add context to discretionary or systematic decisions
This tool does not predict the future, but it provides a powerful historical framework to assess what has been typical, rare, or extreme for the current market window.
⚠️ Notes
Script works on timenow variable for now, and you might see unexpected periods if today is a day off.
Results depend on the selected timeframe and instrument
Past performance is not a guarantee of future results
Designed for analysis and context, not standalone signals
XAUUSD 240m Pivot PointsThis Indicator helps you to automatically find pivot point S1 S2 S3 R1 R2 and R3 for each and every candle that occurs in 4 hr tf
NOVA - SessionsKey Features:
Three Major Sessions:
Asia (Tokyo):** Draws the overnight consolidation range (High/Low/Mid).
London:** Draws the breakout session range.
New York:** Draws the reversal/continuation session range (aligned with the Stock Market Open).
Smart Timezone Logic:
All sessions are calculated using their **local** exchange times (e.g., Tokyo time for Asia, NY time for NYSE) but display correctly on your chart in Amsterdam time. You never have to adjust for Daylight Savings.
Support & Resistance:
The Highs, Lows, and Midpoints extend to the right, allowing you to see how previous sessions act as support or resistance later in the day.
Daily Open:
Marks the exact opening price at Midnight to help you determine if price is "premium" (expensive) or "discount" (cheap) for the day.
Midnight VWAP:
A volume-weighted average price that resets every night, acting as a dynamic "fair value" line for the day.
Clean Visuals:
Completely customizable. You can toggle background boxes, lines, and text labels to keep your chart clean.
In short:
It automates the "boring work" of marking up your chart every morning so you can focus purely on price action.
Newton Pulse Pro AI Exclusive – Newton
Next-Generation Trend Intelligence & Smart Range Filtering
Introduction Newton is the newest powerhouse in the AI Exclusive series, specifically engineered to master trend dynamics. While most indicators fail during choppy, sideways markets, Newton uses advanced AI logic to distinguish between a true trending move and a high-risk range. It is designed for traders who value quality over quantity, providing signals only when the market has clear momentum.
Key Benefits
✅ Smart Range Filtering: Automatically detects sideways markets and remains silent to protect you from "choppy" price action.
✅ Pure Trend Following: Focuses exclusively on high-probability Buy and Sell entries within established trends.
✅ Noise Reduction: Eliminates false signals by ignoring minor price fluctuations that do not lead to real moves.
✅ Strategic Patience: Encourages disciplined trading by only appearing when the market conditions are optimal.
✅ Universal Application: Optimized for Forex, Crypto, Stocks, and Commodities.
General Specifications
Product Name: Newton (Powered by AI Exclusive)
Trading Style: Trend Following & Momentum
Signal Type: Non-Repaint (Signals are fixed once the candle closes)
Market Phase Detection: Intelligent Range/Trend differentiation
Visual Design: Clean, minimalist interface focused on entry execution
Individual Product Presentation: Newton (Trend Master)
Overview: An AI-driven indicator that specializes in identifying the "Law of Motion" in the market. It provides Buy/Sell signals only when a trend is confirmed, staying completely inactive during ranging phases to prevent capital erosion.
Benefits:
Avoids "Death by a Thousand Cuts" in sideways markets.
Provides clear, decisive entry points for Buy and Sell orders.
Simplifies the chart by removing unnecessary clutter and noise.
Features:
Proprietary Trend Logic: Analyzes market structure to ensure signals are backed by real volume and momentum.
Zero-Signal Range Mode: The indicator remains quiet when the market lacks a clear direction—one of its most powerful features.
Visual Precision: High-contrast labels and signals for instant decision-making.
Compatibility: Works seamlessly across all timeframes, from 1-minute scalping to weekly swing trading.
⚙️ Installation & Activation Guide
Secure Your License Purchase the Newton indicator or the full AI Exclusive Package through our official website.
Submit Your TradingView Details After purchase, send your TradingView email address to our support team for authorization.
Account Verification Our team will process your request and grant access to the proprietary script.
Activation & Use * Open TradingView.
Navigate to Indicators → Invite-Only Scripts.
Select AI Exclusive: Newton to apply it to your chart.
Pro Tip: When Newton is not showing signals, it is a signal in itself—it's telling you to stay on the sidelines and wait for a high-probability breakout.
Smart stock Uptrend Forecaster by Prawindesigned by Prawin for trying to forecast the trend of stocks.
ATR Tick Targets (Daily + Intraday)ATR Tick Targets (Daily + Intraday)
This indicator calculates ATR-based tick targets and stops using both intraday ATR and daily ATR, then converts the result directly into tick distances relative to the current price.
It’s designed for traders who think in ticks rather than raw price units, especially futures traders (e.g., MGC, ES, NQ, CL, etc.).
🔍 What it does
✔️ Calculates:
Intraday ATR
Daily ATR
A combined ATR value (user-selectable)
✔️ Converts ATR → ticks using the symbol’s minimum tick size
✔️ Plots:
ATR-based long TP / SL
ATR-based short TP / SL
✔️ Displays:
tick distances for TP and SL
ATR values used in calculation
optional label shifted to the right of price
⚙️ ATR combination methods
You can choose how ATR is derived:
Intraday only
Daily only
Average (default)
Max (more conservative stops / larger targets)
This allows you to match your volatility model to your trading style.
🎯 Typical use cases
This tool is useful if you:
set fixed tick SL/TP from ATR
scale target size with volatility
trade futures or tick-based markets
want a volatility-aware RR framework
want targets that expand in trends and contract in chop
It does not generate trade signals. It simply provides objective ATR-based distances that you can plug into your own strategy.
👁️ Visual control
Options include:
show/hide lines
show only current + previous bar
show full historical levels
toggle long/short model independently
offset info label to avoid covering candles
⚠️ Notes
Works on any timeframe
Tick values depend on the symbol’s minimum tick size
Intended for analysis, not guaranteed execution distances
CME Quarterly ShiftsCME Quarterly Shifts - Institutional Quarter Levels
Overview:
The CME Quarterly Shifts indicator tracks price action based on actual CME futures contract rollover dates, not calendar quarters. This indicator plots the Open, High, Low, and Close (OHLC) for each quarter, with quarters defined by the third Friday of March, June, September, and December - the exact dates when CME quarterly futures contracts expire and roll over.
Why CME Contract Dates Matter:
Institutional traders, hedge funds, and large market participants typically structure their positions around futures contract expiration cycles. By tracking quarters based on CME rollover dates rather than calendar months, this indicator aligns with how major institutional players view quarterly timeframes and position their capital.
Key Features:
✓ Automatic CME contract rollover date calculation (3rd Friday of Mar/Jun/Sep/Dec)
✓ Displays Quarter Open, High, Low, and Close levels
✓ Vertical break lines marking the start of each new quarter
✓ Quarter labels (Q1, Q2, Q3, Q4) for easy identification
✓ Adjustable history - show up to 20 previous quarters
✓ Fully customizable colors and line widths
✓ Works on any instrument and timeframe
✓ Toggle individual OHLC levels on/off
How to Use:
Quarter Open: The opening price when the new quarter begins (at CME rollover)
Quarter High: The highest price reached during the current quarter
Quarter Low: The lowest price reached during the current quarter
Quarter Close: The closing price from the previous quarter
These levels often act as key support/resistance zones as institutions reference them for quarterly performance, rebalancing, and position management.
Settings:
Display Options: Toggle quarterly break lines, OHLC levels, and labels
Max Quarters: Control how many historical quarters to display (1-20)
Colors: Customize colors for each level and break lines
Styles: Adjust line widths for OHLC levels and quarterly breaks
Best Practices:
Combine with other Smart Money Concepts (liquidity, order blocks, FVGs)
Watch for price reactions at quarterly Open levels
Monitor quarterly highs/lows as potential targets or stop levels
Use on higher timeframes (4H, Daily, Weekly) for clearer institutional perspective
Pairs well with monthly and yearly levels for multi-timeframe confluence
Perfect For:
ICT (Inner Circle Trader) methodology followers
Smart Money Concepts traders
Swing and position traders
Institutional-focused technical analysis
Traders tracking quarterly performance levels
Works on all markets: Forex, Indices, Commodities, Crypto, Stocks
Tomorrow Bullish Detector (StephC6)Tomorrow Bullish Detector
This indicator is a specialized technical analysis suite designed to pinpoint high-probability bullish entries using a 6-factor confluence model. It features a dynamic dashboard and visual chart overlays to keep your analysis clean and focused.
### Key Features
- Real-Time Scorecard Monitor: The on-screen dashboard serves as a live monitor for the most current candle only. It provides an immediate snapshot of technical health.
- Fixed Metric Logic: The six core metrics within the scorecard are not changeable, ensuring strategy integrity:
Trend Alignment: Fast and Slow EMA relationship.
Baseline Position: Price relative to the 200 SMA.
Momentum (RSI): Strength relative to the 50 midline.
Breakout Status: Detection of recent high breaches.
Volatility (ATR): Filtering active vs. quiet market states.
Relative Volume (RVOL): Tracking institutional volume presence.
- Simplified 2-Tier Grading:
Grade A (83%): High-conviction signal with fully customizable label, text, and background colors.
Grade B (67%): Secondary setups using subtle, neutral tones to reduce chart clutter.
- Full Customization:
Custom Text Colors: Independently set the text color for both A and B labels for maximum readability on any chart theme.
EMA/SMA Toggles: Toggle Fast EMA, Slow EMA, and 200 SMA visibility.
Moveable Dashboard: Reposition the panel to any corner of the screen and adjust text scaling.
### Integrated Alerts
Grade A Setups: Notifies you only when the most high-conviction criteria are met.
Grade B Setups: Optional alerts for secondary opportunities.
### How to Use
To get the most out of this tool, follow these three steps for analysis:
Monitor the Live Scorecard: Look at the dashboard in your chosen corner. It monitors the most current candle in real-time. A "STRONG" signal status only appears when the 6-factor confluence meets your Grade A or B thresholds. If the metrics show "Wait" or "Weak," the setup is not yet mature.
Identify the Entry Grade:
- Grade A (83%): This is your high-conviction setup. When you see the Lime green label (default) and background highlight, it means 5 out of 6 technical factors are aligned.
- Grade B (67%): This is a secondary trend-continuation setup. Use this to identify potential entries when the primary trend is already established but momentum is still healthy.
Clean Your Workspace: If your chart feels cluttered, use the Trend Settings to toggle off the EMA lines. The scorecard will continue to calculate the trend logic in the background even if the lines are hidden, allowing you to maintain a clean "price-action only" view while still receiving signals.
### Disclaimer
For Educational Purposes Only. This indicator is a technical tool designed to assist in market analysis and does not constitute financial advice. Trading involves significant risk.
Tomorrow Bullish Detector [Customizable]This indicator is a comprehensive technical analysis suite designed to identify high-probability bullish setups using a multi-factor scorecard approach. It provides real-time feedback directly on your chart through a dynamic dashboard and visual heatmaps.
Key Features
6-Element Bullish Scorecard: Automatically tracks six critical technical metrics:
Trend Alignment: Evaluates EMA fast/slow cross.
Baseline Position: Checks if price is above the 200 SMA.
Momentum (RSI): Confirms strength is above the 50-level midline.
Breakout Detection: Monitors price action against recent highs.
Volatility Expansion: Analyzes ATR for active market moves.
Relative Volume (RVOL): Identifies institutional interest via volume surges.
Fully Customizable Visuals:
Moveable Dashboard: Position the scorecard panel in any corner of the screen (Top Right, Bottom Left, etc.).
Adjustable Text Size: Choose between Small, Normal, or Large text to fit your screen resolution.
Visual Heatmap: The chart background shifts color based on the live probability score.
Transparency Controls: Independently adjust the opacity of the gradient and on-chart labels.
How to Use
Overlay on Main Chart: This indicator is designed as an overlay to keep your price action front and center.
Monitor the Grade: Look for high-grade labels (A/A+) which indicate that the highest technical criteria are being met.
Refine with Inputs: Use the settings menu to adjust EMA lengths, RSI periods, and volume multipliers to match your specific trading style.
### Disclaimer
For Educational Purposes Only. This indicator is a technical tool designed to assist in market analysis and does not constitute financial advice, investment recommendations, or an offer to buy or sell any security. Trading involves significant risk, and past performance is not indicative of future results. Always perform your own due diligence and consult with a licensed financial advisor before making any investment decisions. The author is not responsible for any financial losses incurred through the use of this script.
Futures Psychological Levels PROFutures Psychological Levels PRO – Professional Usage Guide
Indicator Overview
This elite psychological levels tool dynamically plots the most institutionally relevant round-number clusters across futures markets (ES, NQ, YM, CL, GC, SI, BTC, and custom instruments). It separates levels into three hierarchical tiers — Major, Tradable, and Sniper — while intelligently filtering distant levels using an ATR-based proximity engine. The result is a clean, adaptive overlay that scales perfectly from scalping precision on 1-minute charts to big-picture context on daily/weekly timeframes.
Core Philosophy
Psychological levels are where order flow clusters: stops, limits, and institutional positioning accumulate around round numbers. This indicator turns static round numbers into a dynamic decision framework by:
Prioritizing confluence zones
Reducing clutter in ranging or low-volatility environments
Highlighting only price-relevant levels in real time
Key Features
Instrument Presets – One-click optimized spacing for major futures contracts
Three-Tier Hierarchy – Major (institutional anchors), Tradable (active defense zones), Sniper (precise entry/exit triggers)
ATR Proximity Filter – Automatically hides irrelevant distant levels
Zones or Lines – Visual magnet areas or clean horizontal lines
Price Labels & Summary Table – Instant reference for next major levels above/below
Full Customization – Colors, thickness, styles, and manual overrides
How to Best Use This Indicator (Professional Workflow)
Select the Correct Instrument Preset
Start with the built-in preset matching your chart (e.g., "ES (S&P 500)" for /ES or MES). This instantly applies battle-tested increments. Use "Custom" only for non-standard assets (forex pairs, micros with different tick values, or crypto alts).
Match Settings to Your Trading Style & Timeframe
Reading the Levels – Decision Framework
Major Levels (thick red by default): Highest probability reaction zones. Expect strong reversals, breakouts with volume, or liquidity sweeps. Treat as primary support/resistance.
Tradable Levels (orange): Active trader defense zones. Excellent for limit order placement, partial profit taking, or fading weak moves.
Sniper Levels (thin gray): Precision entries/exits, stop runs, and scalping targets. Confluence with order blocks or volume profile nodes dramatically increases edge.
Trade Setup Examples
Rejection Play: Price approaches a Major level from below → long wick rejection + close back inside → enter in direction of rejection with stop beyond wick extremity.
Break & Retest: Clean breakout through Tradable/Major → retest as new support/resistance → enter on confirmation candle.
Liquidity Sweep: Price briefly breaches Sniper/Major (stop hunt) → rapid reclaim → aggressive counter-trend entry.
Confluence Boost: When a level aligns with daily/weekly open, VWAP, or prior high/low volume node → dramatically increase position size or conviction.
Risk Management Integration
Always place stops just beyond the next logical level (typically a Sniper or Tradable beyond your entry zone). Use the summary table to quickly identify invalidation points. Target the next level in the direction of your bias for minimum 1:2 risk-reward (often 1:3–1:5 achievable at Major levels).
Pro Optimization Tips
High-volatility sessions (NY open, FOMC, NFP): Increase ATR Multiplier slightly to avoid excessive clutter.
Low-volatility Asian/range sessions: Decrease ATR Multiplier for tighter precision.
Combine with Volume Profile (Fixed Range or Session) to confirm high-volume nodes at psych levels.
Pair with anchored/session VWAP for additional confluence layers.
On higher timeframes, disable Sniper levels and zones entirely for minimalist structural analysis.
Important Disclaimer
This indicator is a professional decision-support tool, not a standalone trading system. All trading involves substantial risk of loss. Past performance is not indicative of future results. Always conduct your own analysis, manage risk appropriately, and consider your financial situation before placing trades.
Mastering psychological levels is one of the highest-edge concepts in institutional trading. Used correctly, this indicator gives you the same reference framework that prop desks and market makers watch every day. Trade smart, stay disciplined, and let price action at these levels guide your executions.
Arzouni signals EngineArzouni signals Engine generates BUY/SELL signals and automatically prints ENTRY, TP1/TP2/TP3 and SL levels. Alerts are sent via alert() with ready-to-use multi-line Telegram messages. To receive alerts: create an alert and choose “Any alert() function call”.






















